This document is an excerpt from the EUR-Lex website
Document 52012SC0329
COMMISSION STAFF WORKING DOCUMENT IMPACT ASSESSMENT Disclaimer: This report commits only the Commission's services involved in its preparatiion and does not prejudge the final form of any decision to be taken by the Commission. Accompanying the document Proposal for a Directive of the European Parliament and of the Council on the harmonisation of laws of the Member States to the making available on the market of radio equipment
COMMISSION STAFF WORKING DOCUMENT IMPACT ASSESSMENT Disclaimer: This report commits only the Commission's services involved in its preparatiion and does not prejudge the final form of any decision to be taken by the Commission. Accompanying the document Proposal for a Directive of the European Parliament and of the Council on the harmonisation of laws of the Member States to the making available on the market of radio equipment
COMMISSION STAFF WORKING DOCUMENT IMPACT ASSESSMENT Disclaimer: This report commits only the Commission's services involved in its preparatiion and does not prejudge the final form of any decision to be taken by the Commission. Accompanying the document Proposal for a Directive of the European Parliament and of the Council on the harmonisation of laws of the Member States to the making available on the market of radio equipment
/* SWD/2012/0329 final */
COMMISSION STAFF WORKING DOCUMENT IMPACT ASSESSMENT Disclaimer: This report commits only the Commission's services involved in its preparatiion and does not prejudge the final form of any decision to be taken by the Commission. Accompanying the document Proposal for a Directive of the European Parliament and of the Council on the harmonisation of laws of the Member States to the making available on the market of radio equipment /* SWD/2012/0329 final */
TABLE OF CONTENTS 1........... Introduction.................................................................................................................... 5 2........... Procedural issues and
consultation of interested parties.................................................... 5 2.1........ Identification................................................................................................................... 5 2.2........ Organisation and timing................................................................................................... 5 2.3........ Consultation and expertise.............................................................................................. 6 2.4........ Scrutiny by the Commission Impact Assessment Board................................................... 7 3........... Context.......................................................................................................................... 7 4........... Problem definition........................................................................................................... 8 4.1........ Low level of compliance................................................................................................. 8 4.2........ Problems related to the legal
provisions of the Directive................................................. 12 4.2.1..... Ambiguity and complexity of the
Directive..................................................................... 12 4.2.2..... Problems with the scope of the
R&TTE Directive.......................................................... 14 4.3........ Regulatory barriers to market
entry of innovative radio equipment.................................. 15 4.4........ Other issues.................................................................................................................. 18 4.5........ Problem tree................................................................................................................. 18 4.6........ Underlying drivers of the problem.................................................................................. 19 4.7........ Who is affected............................................................................................................ 20 4.8........ Foreseen evolution of the problem................................................................................. 20 4.9........ EU right to act.............................................................................................................. 21 5........... Objectives.................................................................................................................... 21 5.1........ General objectives........................................................................................................ 21 5.2........ Specific and operational
objectives................................................................................ 22 5.3........ Consistency with other policies
and objectives............................................................... 23 6........... Policy options............................................................................................................... 23 6.1........ Options addressing objective A..................................................................................... 23 6.2........ Options addressing objective B..................................................................................... 25 6.3........ Options addressing objective C..................................................................................... 26 7........... Analysis of impacts....................................................................................................... 27 7.1........ Identifying impacts........................................................................................................ 27 7.2........ Options addressing objective A:
To achieve improved enforcement and compliance with the Directive 28 7.2.1..... Effectiveness:................................................................................................................ 28 7.2.2..... Impact on administrative costs....................................................................................... 30 7.2.3..... Direct costs of the options............................................................................................. 32 7.2.4..... Impact on third countries:.............................................................................................. 32 7.2.5..... Comparing the options addressing
objective A. Preferred option.................................... 33 7.3........ Options addressing objective B:
To make available a sound legal basis for the implementation of the essential
requirements................................................................................................................. 34 7.3.1..... Effectiveness................................................................................................................. 34 7.3.2..... Impact on administrative and
compliance cost................................................................ 35 7.3.3..... Comparing the options addressing
objective B. Preferred option.................................... 37 7.4........ Options addressing objective C:
to remove regulatory barriers to innovation in radio equipment 39 7.4.1..... Effectiveness................................................................................................................. 39 7.4.2..... Administrative and other costs....................................................................................... 39 7.4.3..... Comparing the options.................................................................................................. 40 8........... Preferred Options......................................................................................................... 40 9........... Implementation, Monitoring and
Evaluation.................................................................... 42 9.1........ Transposition and implementation.................................................................................. 42 9.2........ Reporting and review.................................................................................................... 42 ANNEX I. LIST OF ACRONYMS AND GLOSSARY............................................................ 43 ANNEX II. PRODUCT SCOPE OF THE R&TTE
DIRECTIVE............................................... 45 ANNEX III. BASIC ECONOMIC DATA OF THE EU
MARKET COVERED BY THE DIRECTIVE 46 ANNEX IV. SUMMARY OF THE 2007 PUBLIC
CONSULTATION.................................... 49 ANNEX V. LIST OF INTERVIEW PARTNERS FOR THE
TECHNOPOLIS STUDY........... 51 ANNEX VI. SUMMARY OF THE 2010 PUBLIC
CONSULTATION.................................... 54 ANNEX VII. ADDITIONAL ITEMS AFFECTING THE
AMBIGUITY AND COMPLEXITY OF THE DIRECTIVE.................................................................................................................................................. 58 ANNEX VIII. LEGISLATIION AFFECTING THE
PUTTING INTO SERVICE OF RADIO EQUIPMENT 59 ANNEX IX. DETAILED DESCRIPTION OF OPTION A1..................................................... 60 ANNEX X. ESTIMATION OF THE DIRECT COST OF A
PRODUCT REGISTRATION SYSTEM 61 ANNEX XI. ESTIMATION OF ADDITIONAL COST POR
SOME INDIVUAL PRODUCTS UNDER OPTION B2.................................................................................................................................................. 62 ANNEX XII................................................................................................................ SME
TEST 63 ANNEX XIII. SELECTED REFERENCES............................................................................... 64 1. Introduction The object of this Impact Assessment report is a possible revision
of the R&TTE[1]
Directive, Directive 1999/5/EC of the European Parliament and of the Council of
9 March 1999 on radio equipment and telecommunications terminal equipment and
the mutual recognition of their conformity[2]. The R&TTE Directive establishes a framework for the placing on
the market, free movement and putting into service in the EU of radio equipment
and telecommunications terminal equipment. It addresses
an estimated €63 billion market (2007[3]),
covering inter alia mobile phones, mobile network transmitters and fixed
telephones[4].
The Directive entered into force in 1999, replacing a
wealth of national type-approval schemes and other regulations, and has been
essential to achieve an internal market in this area. The Second Progress Report on the operation of the R&TTE
Directive, dated February 2010 (see reference [2][5]), has
highlighted a number of emerging problems and margins for improvement to be
addressed through legislative revision or other means. This Impact Assessment report analyses these problems, presents the
policy options that are being considered to address them, evaluates their
impact and on that basis proposes recommended measures. 2. Procedural
issues and consultation of interested parties 2.1. Identification The lead
Directorate-General for this impact assessment is DG Enterprise and Industry. Other
Directorate-Generals involved have been DG Information Society and Media, DG Competition,
DG Internal Market and Services, DG Health and Consumers, DG Justice, DG
Mobility and Transport, DG Environment, DG Taxation and Customs Union, DG
Trade, Secretariat General. The proposal is included in the Commission Work Programme 2011[6].
The reference of this proposal in Agenda Planning is 2009/ENTR/021 - Amendments
to the R&TTE Directive. 2.2. Organisation
and timing The Impact Assessment Steering Group (IASG)
met three times in order to discuss the preparation of this impact assessment:
1st March 2010, 6th October 2010 and 28th April 2011. 2.3. Consultation
and expertise Issues raised by the operation of the
Directive and possible solutions to them have been discussed within TCAM[7], the standing committee of the
Directive, since its establishment in 2000. In addition to Member States and
the Commission, TCAM includes representatives from industry, European Standards
Organisations, CEPT[8],
notified bodies and consumer organisations. A first public consultation took place in 2007, where 60 respondents
answered some 120 questions on the operation of the Directive (see Annex IV).
This consultation allowed to identify the main problems in the operation of the
Directive as well as the possible remedies. Issues identified through this
consultation were included in the Second Progress Report on the operation of
the R&TTE Directive (see ref. [2]). During 2009, an external contractor Technopolis developed for the
Commission a study on the impact of different options addressing the need to
improve traceability of products and their compliance with the requirements in
the Directive. In the framework of the study, the consultant also carried out
49 interviews with different stakeholders, including SMEs (see ref. [8] and
Annex V). During 2010, three TCAM ad hoc working groups[9] were put in
place in order to assess the impact of the different options pursuing the
following objectives: (1)
To improve the traceability of R&TTE
products and their compliance with the provisions in the Directive. (2)
To align the R&TTE Directive with the
provisions of the New Legislative Framework (NLF[10]) in order to achieve its
intended goals: improved coherence of legal texts with regard to market
surveillance and notification of conformity assessment bodies, clarification of
obligations for economic operators, harmonisation of conformity assessment
procedures, simplification of EU safeguard measures (3)
To make the regulatory environment for placing
on the market and putting into use radio equipment more receptive to innovative
radio technologies All three ad hoc working groups included the participation of public
authorities and other interested stakeholders, namely companies, notified
bodies, consumer representatives and standards organisations. The Commission conducted a further public consultation between
16.07.2010 and 15.09.2010 focussing on the impact of some of the measures under
consideration. The questions covered the following topics: improved compliance
with the Directive, clarification of the Directive and reduction of
administrative obligations, issues of scope and accessibility of R&TTE
products for all kinds of users. An adapted consultation specifically sought
the views of SMEs through the network Enterprise Europe[11]. The Commission received
contributions from 122 respondents, including 50 SMEs, 36 other economic
operators, national authorities, notified bodies, standardisation bodies and
other respondents. (see Annex VI and ref. [12]). During four meetings of TCAM in 2010, the Commission has consulted
the Committee on the considered approach to address the issues subject to
review. There is a high level of consensus and support for aligning the
Directive with the NLF and for clarifying and simplifying the Directive.
Opinions are more divided on the possible introduction of compulsory registration,
on some measures of administrative simplification such as the suppression of
current article 6.4 (see 4.2.1 below), and on adaptations of scope such as
those potentially affecting broadcast receivers (see 4.2.2 below). 2.4. Scrutiny by the Commission Impact Assessment Board The Impact Assessment Board of the European
Commission assessed a draft version of the present impact assessment report and
issued its opinion on 27th June 2011. The Impact Assessment Board
made several recommendations and, in the light of the latter, the final impact
assessment report: –
Clarifies the relation between compliance with
the R&TTE Directive and a more efficient use of spectrum, taking into
account other legislation at EU and national level affecting the use of radio
equipment –
Makes explicite all elements underlying Option
A4, in particular the procedure for identification of categories of equipment
to be subject to registration –
Indicates the positions of the main stakeholders
with regard to the options considered –
Makes more explicite social impacts and impacts
on consumers –
Clarifies how the proposed Options A1 to A4
facilitate and/or incentivise compliance by manufacturers based outside the EU 3. Context The R&TTE Directive fully harmonises
the placing on the EU market of the products falling within its scope.
Only equipment complying with the requirements in the Directive may be placed
on the market, and Member States may not introduce further restrictions
addressing at national level the same requirements, namely the protection of health and safety, electromagnetic compatibility, and
the avoidance of harmful interference. Other EU legislation on environmental
aspects also applies to these products, in particular the directives on RoHS[12],
WEEE[13]
and Batteries[14], as well as implementing
measures under the EcoDesign Directive[15]. With regard to putting into service
of radio equipment, the legal environment is more complex. Radio equipment
makes use of spectrum, the management of which is largely a national
competence. Whereas equipment complying with the R&TTE Directive can in
principle be used in the EU, national regulations, some of them harmonised at
EU level, may introduce further restrictions on the use of radio equipment.
When exercising this competence, Member States shall comply with applicable EU
legislation (see Annex VIII and section 4.5 below for a more detailed
description). The Commission has issued two progress
reports on the R&TTE Directive: –
A First Progress Report, of 22.4.2004,
collecting the experience of the first five years of operation of the Directive
(see ref.[1]) and announcing the intention of the Commission to examine
the need for revising the Directive and to make proposals The Telecommunications, Transport and
Energy Council of 9-10 December 2004 adopted Conclusions on this first report
and invited the Commission to
examine the need for revising provisions of the
R&TTE Directive and make the appropriate proposals –
A Second Progress Report, of 9.2.2010 (see
ref.[2]) which, building on further experience on the operation of the
Directive and on the 2007 public consultation, highlighted a number of emerging
problems and margins for improvement to be addressed through legislative
revision or other means 4. Problem
definition 4.1. Low
level of compliance A low level of compliance with the
requirements of the Directive has been observed, affecting both the essential
requirements in the Directive (the protection of health and safety,
electromagnetic compatibility, and the avoidance of harmful interference) and
the related administrative requirements (e.g. CE marking, information on
restrictions to use, Declaration of Conformity). The Second Progress Report (see
ref.[2]) states: “a very low level of compliance to the
provisions of the Directive was observed among low power radio devices and to a
lesser extent in other areas. A number of importers and manufacturers of this
equipment are not aware of the Directive or deliberately ignore it” This conclusion is
based on evidence available from national Market Surveillance Authorities
(MSAs) who cooperate within the administrative co-operation group
ADCO-R&TTE[16].
Since the Directive entered into force, ADCO-R&TTE coordinated four EU-wide
market surveillance campaigns (see ref. [3], [4], [5] and [6]). The first campaign covered a broad range of
products, subsequent campaigns focussed on a particular category: short-range
devices, Private Mobile Radio (PMR[17]) and 2.4 GHz devices[18], and low-power FM[19] transmitters. The table in
next page summarises the results of the 4 campaigns: The campaigns have found values ranging between 28% and 56% for
compliance with the essential requirements, and even lower values for
administrative compliance. The most recent consolidated report available, i.e. the 2009 final
report of ADCO-R&TTE (see ref. [7]) also shows low levels of
compliance. Of 6168 R&TTE pieces of equipment inspected, 68 % were
compliant with the essential requirements and only 56% were compliant with both
essential and administrative requirements. Table 1. Summary of R&TTE market
surveillance campaigns || 1st campaign 9/2002-10/2003 || 2nd campaign 1/2005-1/2006 || 3rd campaign 9/2008-5/2009 || 4th campaign 6/2009-10/2009 Product area || Broad range of products || Short-range devices || PMR (Private Mobile Radio) and 2.4GHz devices || Low-power FM radio transmitters Sampled products || >1000 || 180 || 259 || 60 Observed administrative compliance || 24% || 42% only 12% compliant including requirements on technical documentation || 40% only 15% compliant including requirements on technical documentation || 17% Observed compliance with essential requirements || Not included in the campaign || 56% || 53% (60% for radio aspects) || 28% Observed overall compliance || 24% || 6% || 16% -22% for PMR -9% for 2.4 Ghz devices || 10% Other elements || -Missing DoC and area of intended use particularly severe || -Missing design schemes in technical file was a major cause for non-compliance || -Missing design schemes in technical file was a major cause for non-compliance || MSAs have found that for a non-negligible
part of equipment non-complying with the essential requirements, no evidence
was available of a conformity assessment having taken place. Absence of a
complete technical documentation has been a recurrent issue. Also basic
requirements such as CE marking (15% absent/incorrect for equipment inspected
in 2009) and a correct Declaration of Conformity (DoC) (33 % absent/incorrect
for equipment inspected in 2009) are often not complied with. In many cases the
equipment concerned consists of low-cost products for consumers, such as some
toys with short-range radio features. However, the market surveillance
campaigns also detected low levels of compliance for professional equipment
such as PMR. This situation affects consumers,
law-abiding manufacturers, and public services. The
following consequences can be identified: (4)
Low compliance prevents law-abiding companies
from competing in a level-playing field with
companies that do not comply with the legal requirements of the Directive.
Products not complying with the Directive and/or the conformity of which has
not been assessed benefit from lower costs and thereby gain competitive
advantage over compliant products, thus distorting competition (5)
Low compliance exposes citizens to possibly
unsafe products, thus potentially entailing accidents and negative health
impacts. In this respect, three aspects are to be considered: –
Electrical safety hazards arising from
insufficient assessment of risks associated to the electrical characteristics
of the equipment. As most R&TTE products used by consumers, many of them
battery-powered, are of relatively low-risk, direct consequences of
non-compliance for human health and safety are usually limited –
Public exposure to electromagnetic fields
(EMF) is a matter of concern. Primary responsibility in this area remains with
Member States. At EU level Council Recommendation
1999/519/EC[20] includes recommended
limits for the exposure to EMF of the general public. Harmonised standards
giving presumption of conformity with the essential requirements in the
R&TTE Directive are designed to ensure that the public is not
exposed beyond the limits of the Council Recommendation. Compliance
with the R&TTE Directive is important for public confidence in the
effective surveillance of public exposure to EMF radiation, which in turn
supports further deployment of radio technologies (e.g.
base stations for mobile communications) –
Non-compliant radio equipment may create harmful
interference with critical communication services such as those of security
services, air traffic management or public safety. Nuisances on such critical
communications may have fatal consequences or contribute to criminal activity,
and several such cases have been reported within ADCO-R&TTE (e.g.
long-range walkie-talkies interfering with aeronautical communications) (6)
Low compliance of radio equipment with the
Directive also prevents a more intensive and efficient use of radio spectrum,
negatively affecting the potential for economic growth and innovation in this
area[21].
The R&TTE Directive is the only legal instrument with requirements on the
use of radio spectrum (e.g. power, width of frequency band used, spurious
emissions) to be complied with by radio equipment placed on the EU market.
Though other EU-level and national regulations (see Annex VIII) often set
further requirements on the use of spectrum, ensuring that only equipment
complying with the R&TTE Directive is placed on the market is very
important for an effective and efficient use of spectrum: -First, through the interaction between the
R&TTE Directive and other EU/national regulations on the use of radio
spectrum: where confidence in the enforcement of the Directive is poor,
national authorities are reluctant to authorise more intense uses of radio
spectrum in their regulations -Second, influencing the behaviour of users and
manufacturers: equipment non-complying with the relevant R&TTE requirements
creates harmful interference and dissuades users and manufacturers from using
affected frequency bands; for example non-compliant walki-talkies interfering
aeronautical communications oblige aviation authorities to reserve several
frequency bands for these critical communications Different elements concur in explaining
the low level of compliance observed: A) The current text of the R&TTE
Directive is considered to be ambiguous and unnecessarily complex (see Annex IV and ref. [2]). Section 4.2
below develops these aspects. A relatively high effort is required from
manufacturers in order to understand their obligations under the Directive. B) Insufficient
or inefficient enforcement by Market Surveillance Authorities: –
The relative low riskiness of the product
area covered by the Directive, and the fact that phenomena such as
excessive exposure to electromagnetic fields or interference among radio
equipment are particularly difficult to ascertain, makes the detection by MSAs
of the placing on the market of non-compliant products particularly difficult –
Market Surveillance is a national competence.
MSAs monitor the market in order to detect and withdraw non-compliant products.
Member States currently commit very different amounts of resources to
market surveillance[22].
Under chapter III of Regulation 765/2008/EC[23],
Member States shall entrust market surveillance authorities with the powers,
resources and knowledge necessary for the proper performance of their tasks.
Tight budgetary conditions and the limited political visibility of MSAs have
not allowed to fully implement this requirement up to this date, and no
fundamental change is foreseeable in the near future. Lack of cooperation
among MSAs also reduces the efficiency and the dissuasive power of their
action. This point is being addressed as well under NLF Regulation 765/2008/EC. –
Efficiency and effectiveness of MSAs is strongly hindered by the limited traceability of products
and of manufacturers. Current provisions in the
‘Guide for the implementation of the Directive[24]’
include the obligation to provide the name and address of the manufacturer or
his authorised representative in the DoC accompanying the product.
Nevertheless, this non-legal obligation is not always followed, and
often the data provided do not allow an effective contact (see ref. [9] and
[3] to [6]). When a valid contact point cannot be found, MSAs are obliged
to unfurl the distribution chain in order to contact the person responsible for
placing the product in the EU market. As an illustration, a market surveillance
authority mentioned difficulties for contacting the responsible entity in 50%
of the cases, entailing a time effort ranging between 0.25 and 0.75 manXdays. (see
ref. [9]). Many MSAs devote large amounts of time and resources in order to
trace products and the manufacturer or the importer responsible for the product
on the EU market, which are subtracted from the limited resources of MSAs. This
can be also illustrated by the following statement given in an interview by
another MSA: “When we find a product and suspect it to be non-compliant, we
first try to contact the person responsible for the market introduction.
Frequently, such information is lacking, e.g. in the packaging or on the
product. We then ask the retailer where we found the product from whom he/she
got the device. We continue with this contact provided to us and ask the
supplier where he obtained the product from. The story can repeat itself for so
long till we get to the very first importer of the product… this is extremely
in-efficient and also in-effective” (see ref. [8]). Responsibilities of economic operators other than manufacturers,
i.e. importers and distributors and other intermediators such as
web-platforms, are absent in the current Directive. This creates difficulties
in obtaining their cooperation in the enforcement of the Directive, cooperation
which is particularly important when manufacturers are based outside the
jurisdiction of the MSA. The incentive
matrix with which manufacturers are currently confronted is characterised
both by a high perceived cost of compliance, driven by the complexity of the
Directive, and a low risk of sanctions in case of non-compliance, taking into
account the limited resources and efficiency of enforcement. Such an incentive
matrix does not sufficiently encourage manufacturers to comply with the legal
requirements, especially those manufacturers with an ephemeral presence on the
market. Table 2. Incentive matrix
for compliance under the R&TTE Directive Barrier/Incentive for compliance || Probability of effective sanction[25] in case of non compliance High || Low Perceived cognitive barrier to compliance || High || || X Low || || 4.2. Problems
related to the legal provisions of the Directive 4.2.1. Ambiguity
and complexity of the Directive The
Directive is generally considered to be too complex and ambiguous. The cases
below have been identified within the 2007 consultation (see Annex IV and ref. [2]) and within
TCAM[26]. There are different
interpretations among MSs and industry on whether the essential requirement in
article 3.2 ('effective use of spectrum... so as to avoid harmful
interference') is only applicable to radio equipment when transmitting or also
to the performance of reception by radio equipment. The community of
standardisation is divided, with consequences on harmonised standards
conferring presumption of conformity with the requirement[27]. This ambiguity also affects
the possibility of systematically introducing harmonised standards setting
requirements for all radio receivers in view of a more intensive and efficient
use of radio spectrum. The
'alert sign' must be affixed on products where restrictions on their use
are applicable in one or more Member States. As indicated by consumer
representatives within TCAM, the practical value of this sign for consumers is
very limited. There have been extensive discussions on the distinction between
this requirement and the obligation to notify to authorities
the intention to place on the market equipment operating in non-harmonised
bands, as per article 6.4[28]. Yet the distinction remains unclear for many
companies. National authorities use these notifications
in very different ways. While some consider that they facilitate informing
manufacturers on possible restrictions on use of the equipment, other
authorities do not make any use of such notifications. They add to
administrative burden for industry (43 % of respondents consider a
suppression of this requirement to bring in some or significant reduction of
burden, see ref. [12]). Member
States have different interpretations on how to apply the requirements in the
Directive to products and economic operators in the case of internet
sales and other distance sales, as shown by discussions within TCAM. For
example, the applicability to web-platforms based outside the EU of the concept
of person responsible for placing on the market and ensuing obligations is
unclear. The
ambiguities and redundancies above and others cited in Annex VII result in
scarce resources of authorities and economic operators being consumed in
interpretative discussions, lead to different approaches to the application of
the Directive, and constitute a hindrance to the Internal Market. The Directive also includes many administrative
provisions and experience has shown that there is scope for administrative
simplification. This refers in particular to the obligation to affix in 3
places, namely on the equipment, on the package and on user instructions the
following elements, where applicable to a piece of equipment: (a)
CE marking (b)
Notified Body number (c)
Alert sign These obligations create burden for
businesses that have to adapt the design of labelling, packaging and
accompanying documentation for products, and also for public administrations in
charge of monitoring them. Many R&TTE products are also covered
with regard to other requirements by other pieces of EU Harmonising
Legislation, e.g. for Toys, Machinery, Lifts, etc. The fact that many
definitions, obligations and procedures are similar but slightly different is
a source of difficulties and undue burden for economic operators. 4.2.2. Problems
with the scope of the R&TTE Directive ·
Problems arising from the application of
the Directive to certain equipment Within the scope of the Directive is
currently included equipment for which the provisions of the Directive are
not well adapted, in particular in the following cases: Software-defined radio (SDR) is a technology allowing to modify key operating parameters of radio
equipment (e.g. frequency range, modulation, output power) by changing its
software. These parameters are central to compliance with all three essential
requirements of the R&TTE Directive. SDR emerged in the military
environment and has until now had a limited impact on the civil market. Most
SDR products, in particular for base stations in mobile networks, remain today
under the control of a single manufacturer. However, a foreseeable increased
presence of SDR, in particular when independent software is uploaded on
equipment, raises questions on conformity assessment of combinations of
hardware and software, on marking and information requirements for products
and, on allocation of responsibilities for non-compliance. Lack of appropriate provisions in the Directive creates legal
uncertainty both for public authorities and for equipment manufacturers,
and barriers to market uptake of these products. Complex
installations, e.g. a high power TV broadcasting
transmitter, are often continuously modified, and include pieces of equipment
that are not placed on the market. However, as the Directive does not include
any specific provision for them, installations and their components should be
treated like normal products, which creates some legal and practical problems.
For example the application of the obligation of both the complete installation
and its components to comply with the essential requirements is problematic.
One third of respondents to the 2007 public consultation considered that
installations where not sufficiently addressed in the Directive, while half of
them considered this was not an issue. The effects of multiple pieces of individually compliant equipment
may cumulate (e.g. in-vehicle radars in congested
traffic) and create risk to health or harmful interference. The Directive does
not easily allow to deal with risk arising from these situations. In the absence of voluntary industry
agreements, lack of interoperability is an inconvenience for users and
creates unnecessary waste of resources, as illustrated by the protracted
inability of the market to generate a common standard for chargers for mobile
telephones. The Directive already allows the Commission to take Decisions
requiring certain equipment classes to interoperate with emergency services and
with network interfaces, but not with accessories. As shown by requests from
the public and from the European Parliament, there is a strong societal support
for the ongoing Commission initiative to harmonise chargers for mobile
telephones[29],
and for extending such harmonisation to other equipment, e.g. laptops. The definition of ‘terminal’,
a constitutive element of the scope of the Directive, depends on national
decisions on the location of the Network Termination Point (NTP). A fixed
terminal may be considered a 'terminal' for the purposes of the Directive in
some Member States but not in others: equipment such as an ADSL router may
fall within the scope of the R&TTE D in a Member State and within the scope
of EMCD[30]
and LVD[31]
in another one. Although the applicable essential requirements are the same in
both cases, different administrative requirements and legal basis create burden
for manufacturers (e.g. Declaration of Conformity for both R&TTE D and
EMCD/LVD) and regulators, and prevent a more integrated Internal Market. This
problem was highlighted by manufacturers and public authorities in the context
of a related question within the 2010 consultation (see section 3 in ref.
[12]) ·
Issues arising from products currently
outside the scope of the Directive Receive-only
radio equipment (e.g. GPS or Galileo receivers,
receiver side of car-openers) is generally included within the scope of the
Directive[32].
Sound and TV broadcasting receivers, the most important category of such
receivers, are excluded from the Directive, and are generally covered by the
LVD and the EMCD or, in particular in the case of battery powered equipment, by
the GPSD[33]
and EMCD. The same equipment, if able to receive other data, falls within the
scope of the Directive. Similar equipment is therefore subject to different
legal frameworks and essential requirements, creating legal uncertainty and
adding legal complexity to market surveillance. Also
outside the Directive are intentional radiators which transmit energy
through radio waves for other purposes than communication. They include
equipment such as frequency jammers, wireless chargers, heating applications,
sensors and other usually falling under the denomination ISM (industrial,
scientific and medical applications). Such equipment is not covered by the
R&TTE Directive but by the LVD and the EMCD, or, in the case of battery
powered equipment, by the GPSD and EMCD. If able to communicate, such equipment
is however covered by the R&TTE Directive. Different equipment having the
potential to create harmful interference is subject to different legal
frameworks and essential requirements, adding legal complexity to market
surveillance and also to market access for products not clearly falling within
legal definitions. 4.3. Regulatory
barriers to market entry of innovative radio equipment Market access for new radio technologies
depends on the possibility for manufacturers to comply with the R&TTE
Directive, in particular through the availability of harmonised standards or of
notified body opinions, but also on the availability of an appropriate
allocation of spectrum and authorisation regime in the Member State where the
equipment is intended for use, in particular where frequency bands are not
harmonised by implementing measures under the Radio Spectrum Decision[34]. As identified
within the public consultation held in 2007, a number of issues delay or
discourage market entrance for innovative radio technologies in the EU (see
ref. [11]). Within the scope of the R&TTE Directive are the following: ·
Conformity with the Essential Requirements in
article 3.2 of the R&TTE Directive[35]
is usually based on harmonised standards the references of which have
been published in the Official Journal of the European Union (OJEU). In past
years, it has been the case that the delay for publication of references in the
OJEU has been excessive, up to one year in some cases ·
Manufacturers may place equipment on the market
without following harmonised standards, provided that a positive opinion has
been obtained from a notified body (NB). Difficulties in obtaining
opinions from NBs have been reported in the absence of technical conditions
defined for the use of spectrum . It is challenging for some notified bodies to
be continuously updated on deliberations on rules for the use of spectrum and
on compatibility studies developed by CEPT (see ref [11]). Other issues fall mainly outside the scope
of the R&TTE Directive: ·
Lack of harmonisation of spectrum in the EU
reduces economies of scale and makes national markets unattractive for
innovators ·
Excessive level of detail in the technical
conditions for use of spectrum, as opposed to more flexible conditions allowing
different technologies to share frequency bands ·
A long and uncertain process for the
re-allocation of spectrum when this is necessary for innovative use. The time
necessary to complete the process depends on the complexity of the systems
being considered and the presence of existing users of the bands to be
re-allocated. Such a process and constellation of entities is in contrast with
the more centralised and agile decision processes of trade partners and
competitors such as US and Japan ·
Lack of awareness among companies and SMEs of
the regulatory decision-making processes for the placing on the market and the
use of radio equipment These issues reflect the complex processes
involving the several entities responsible for different regulatory steps for
the placing on the market and the putting into service of equipment using
spectrum. Technical conditions for use of spectrum are issued by Member States and may be harmonized either through
binding EU Decisions pursuant to the Radio Spectrum Decision, or through
non-binding CEPT Decisions or Recommendations (see Annex VIII for a more
detailed discussion). Relevant authorisation regimes under which radio equipment
will operate are defined at national level according to the principles of the
Authorisation Directive[36],
which covers Electronic Communications. The following figure presents a simplified
view of the regulatory steps allowing the placing on the market and putting
into service of radio equipment (see ref. [11]) where no harmonised
standard is available and the frequency bands are not harmonised at EU level: Figure 1: Simplified diagram for the
preparation of harmonised standards and regulatory decisions allowing the
placing on the market and putting into service of radio equipment The current repartition of responsibilities involves a number of
entities both at European and at national levels. Progress in the decision-making
process usually needs iterative exchanges among the different entities, with
associated delays necessary to ensure transparency and due consultation of
interested parties, in particular users of spectrum. Since 2007, the EU has taken a number of
measures aimed at facilitating market access for innovative radio technologies.
Such measures include: –
the improvements in the second part of 2010 of
the process for the publication of references of harmonised standards in the
Official Journal of the EU has allowed to achieve a substantial reduction of
delays –
the review of the Framework Directive in 2009[37] has strengthened the emphasis
on flexibility in regard to the use of spectrum for electronic communications
services –
the harmonisation of a number of frequency bands
introducing flexible usage conditions under the regime introduced by the Radio
Spectrum Decision ( e.g. for Short Range Devices[38]) –
the proposed Radio Spectrum Policy Programme[39] provides a strategic framework
for the next 4-5 years in spectrum management, in particular in promoting
innovation and encouraging efficient use of spectrum As a summary to this section, market
entrance for innovative radio technologies in the EU has to cope with a
relatively complex and slow-moving system. Where innovative technologies do not
fit within existing harmonised standards and regulatory conditions for use of
spectrum, legal uncertainty arises, and can deter potential investors and
innovators. Some limited issues regarding development/publication of harmonised
standards and information of notified bodies on regulatory developments can be
tackled within the framework of the R&TTE Directive and are addressed by
the objectives and policy options below, but the most important issues arise in
the area of spectrum regulation. 4.4. Other
issues Articles 3.1 and 3.2
contain the essential requirements at the core of the Directive. Article 3.3
allows the Commission to take Decisions in order to introduce additional
essential requirements applying to categories of equipment to be defined. Since
the entry into force of the Directive, the Commission has taken 5 decisions on
the basis of article 3.3.e on access to emergency services. Article 3.3.f
addresses support to ‘certain features in order to facilitate its use by
users with a disability’. Until present, this article has not
been the subject of a Commission Decision. In the course of the 2010 public
consultation (see ref. [12]), stakeholders were invited to discuss
whether this provision needed to be amended in order to make it more supportive
of accessibility. Most respondents agreed on the potential value of article
3.3.f, while some called upon the Commission to take decisions on the basis of
this article, and others preferred to focus on other instruments such as the Universal
Service Directive[40],
which addresses inter alia services for special categories of
population. The conclusion is that article 3.3.f may be valuable in the future
and should be kept as it is. Therefore, this aspect will not be discussed
further under this impact assessment. 4.5. Problem
tree The following problem tree presents a
stylised view of the causality links between the problems identified within the
operation of the R&TTE Directive and their main consequences: Figure
2: Problem tree identified within the operation of the R&TTE Directive 4.6. Underlying
drivers of the problem As noted above key drivers of the problems
of non-compliance and complexity are the following: (7)
insufficient resources of MSAs, and
inefficiencies in their use due to inappropriate legal instruments for
enforcement and lack of operational cooperation among MSAs (8)
a diversity of interpretations by economic
operators and Member States of the scope and requirements laid down in the
Directive (9)
economic operators face an incentive matrix for
compliance with the Directive which combines a relatively high complexity with
a low probability of sanctions (10)
increasing proportion of manufacturers non
located in the EU, in particular in East Asia, who have more difficulties in
understanding the EU legal framework and the Directive For the other problems, the drivers are: (11)
technological change driving the appearance of
software-defined radio and the growing presence or radio components in many
different products raising the issue of cumulative effects of technology (12)
different regulatory approaches raising the
issue of specialised equipment falling within the R&TTE scope and other
legislations (13)
a multiplicity of entities regulating the use of
spectrum at EU and at national level, and an only partial harmonisation of
spectrum; the revision of the R&TTE Directive only offers limited
opportunity to address this issue 4.7. Who
is affected. As already mentioned in sections 4.1 to
4.6, several categories of stakeholders are affected by the current framework
put in place by the R&TTE Directive and its implementation: (14)
Users of R&TTE equipment, public services and citizens in general are exposed to an
important share of non-compliant equipment. (15)
Manufacturers are
affected by distortion of competition, by the complexity and ambiguity of the
Directive, by issues of scope and by difficulties in bringing
innovations to the market (16)
Market Surveillance Authorities are affected by difficulties in efficiently enforcing the Directive,
in dealing with its complexity and ambiguity and with issues of scope 4.8. Foreseen
evolution of the problem NLF Regulation 765/2008, which became
applicable on 1 January 2010, should lead to a certain improvement of the
current situation. It strengthens the obligations of Member States on market
surveillance and provides for reinforced cooperation and information exchange
on non compliant products. It also requires controls of imported products.
Market surveillance should hence become more effective and more visible and
deter those operators who have been encouraged by a perceived absence of market
surveillance activities to take advantage of the system. However, even under
the best functioning market surveillance system, authorities can only control a
relatively limited amount of products on the market. Certain operators will
still try their luck, in particular as long as the consequences of “being
caught” (fines, withdrawal, effect on reputation, etc) are relatively minor in
relation to the economic savings they can achieve. While the NLF Regulation might lead to a
certain improvement of the current situation, at the same time certain trends
suggest a worsening of the problem. Whereas when the Directive entered into
force in 1999 a significant part of the products covered were manufactured in
Europe, most products today (80%, see Annex III) are imported from
trading blocks where awareness of EU legal requirements is limited, and this
trend seems to be sustained. Increased delocalisation of production will also
make the tasks of market surveillance authorities more complex and difficult.
In many instances they will not be able to identify or directly contact the
manufacturer. Consequently they will need to rely increasingly on the
information provided by importers and distributors. The lack of traceability in
the supply and distribution chain will then become an even bigger problem. With
no action, compliance with the Directive should remain low. The presence of wireless communication
devices has been significantly increasing in the last ten years. An increasing amount of other products such as machinery, vehicles
and toys incorporate radio modules. In all probability this trend will not
change. No action would increasingly allow for situations of risk to good
operation of devices and prevent a more efficient use of radio spectrum. Technological
progress and market developments continously present new challenges to the
application of the Directive. The ‘Guide for the
implementation of the Directive’ agreed by Member States and the Commission is
a common reference for consistent application of the Directive, and maybe
regularly updated. However, as it is not legally binding, Member States follow
it to different degrees. In particular increasing
amounts of equipment modified by software are expected to be placed on the EU
market, lack of adequate provisions would render the application of the
Directive difficult or impossible in this case. Further harmonisation of spectrum
under the Radio Spectrum Decision and the impulse of the Radio Spectrum Policy
Programme should simplify regulatory conditions for market access of radio
equipment in general, enhance the flexibility and
technology neutrality of spectrum allocation, and
provide more opportunities for license-free access to spectrum by innovative
products in particular. The Commission plans to issue a
Communication on collective and shared use of spectrum. Continuous efforts by the European
Standards Organisations and the Commission to reduce delays in development and
publication of harmonised standards, and to develop technology-neutral harmonised standards are
expected to facilitate their timely correspondence with the state of the art
and thus enable market access for innovative products. 4.9. EU
right to act The Single Market is an area of ‘shared
competence’ according to article 4 of the Treaty on the Functioning of the
European Union (TFEU). The current R&TTE Directive, as one of the ‘New
Approach’ directives setting EU-wide harmonised requirements, has been
instrumental in the completion of the internal market for radio and
telecommunication terminal equipment. The objective of creating an open
competitive single market for telecommunications and radio equipment could not
sufficiently be achieved by the Member States acting individually, as different
national requirements for the placing on the market of equipment fragment the
EU market. The revised
Directive shall be based on TFEU articles 26 (Internal Market) and 114 (Approximation
of Laws). Action at EU level is necessary on order to adapt, clarify or
simplify provisions which are the keystone of the Single Market in this area.
This cannot be achieved by Member States acting individually. A possible new
obligation to register at EU level manufacturer and/or equipment as part of
options addressing objective A would enable access to the EU market, and its
advantages with respect to multiple similar measures at national level are
clear. The changes of scope considered within options addressing objective B
are limited, and affect other EU legislation rather than national competences.
Some of the options considered for a revision of the regulatory environment of
radio equipment (Objective C) affect spectrum regulation, an area largely
within the competence of Member States, and this is addressed in section 7.4.
The other options considered propose simplification or limited adaptation of
the current Directive to some technologies, and therefore the EU right to act
and the value-added of action at EU level can be considered uncontroversial for
them. 5. Objectives 5.1. General
objectives As a general objective, the review of the
R&TTE Directive aims to ensure better implementation of the essential
requirements in the Directive, i.e. to ensure a high level of protection of
health and safety for users and any other person, to ensure the electromagnetic
compatibility of equipment, and to ensure an effective use of spectrum so as to
avoid harmful interference. This must be achieved in a way that preserves free
circulation of these products in the EU, does not create unnecessary costs and
burden, in particular for SMEs, and supports innovation. 5.2. Specific
and operational objectives Specific and operational objectives in line
with the problems identified in section 4 are the following: A To achieve improved
enforcement and compliance with the Directive: ·
To reinforce the obligations of economic
operators, and to improve the legal tools available to MSAs in order to improve
their efficiency and effectiveness, in particular regarding traceability of
products ·
To simplify and clarify the requirements in the
Directive in order to facilitate compliance by economic operators. This is also
part of objective B B To make available a sound
legal basis for the implementation of the essential requirements: ·
To clarify and simplify a number of provisions
for economic operators, notified bodies and market surveillance authorities. To
improve the coherence of definitions and requirements with other Internal
Market legislation and with other related legislation such as the Radio
Spectrum Decision and the regulatory framework for electronic communications.
To modify or suppress a number of administrative obligations which create
burden but bring in only limited value-added ·
To facilitate the application of the Directive
to equipment within the scope of the Directive which because of its nature,
technology or patterns of use creates difficulties in the operation of the
Directive, i.e. software defined radio, complex installations, equipment prone
to generate cumulative effects; to enable harmonisation of interfaces between
equipment and accessories ·
To rationalise the scope of the Directive so
that it includes all equipment for which avoidance of
harmful interference (the essential requirement in article 3.2) is relevant C To remove regulatory barriers
for the access to the market of innovative radio equipment: ·
To simplify regulatory decision-making processes
and to reduce associated delays conditioning market access of new technologies 5.3. Consistency
with other policies and objectives The initiative will
be consistent with the principles of the ‘Smart Regulation’ policy of the
Commission[41],
with the policy for Europe 2020, in particular with the regulatory review
foreseen within the policy for an Innovation Union[42], as well as with the proposed
Radio Spectrum Policy Programme[43]. The initiative will also be consistent with
the New Legislative Framework package, approved in 2008. This consists of two
complementary instruments, Regulation 765/2008 on accreditation and market
surveillance and Decision 768/2008 establishing a common framework for the
marketing of products. The Decision complements the Regulation. While the
latter basically contains the obligations on Member States and their
authorities to ensure that products on their market are safe and comply with
the legal requirements, the Decision contains the relevant obligations imposed
on economic operators such as manufacturers, importers and distributors, as
well as the bodies testing and certifying products. Hence, the two instruments are
inextricably linked and their elements mutually support and complement each
other. Unlike the Regulation, the Decision does not have immediate legal
effects on economic operators, individuals or Member States, and provides
(article 2) that its provisions are to be used when legislation is drafted or
revised. 6. Policy
options 6.1. Options
addressing objective A -Option A0 is the status quo. -Option A1 is an alignment with the
New Legislative Framework (NLF) for the marketing of goods. Alignment of
Single Market harmonising legislation with the NLF is a commitment of the EU
Council, Parliament and the Commission. One of the main objectives of the NLF
is to improve compliance with legal requirements in the Internal Market, and in
particular to strengthen market surveillance. Alignment with the NLF would include the following elements from NLF Decision
768/2008/EC[44]: –
obligations for manufacturers, importers and
distributors to check at the different steps in the supply chain that
compliance of equipment has been assessed –
traceability obligations for manufacturers,
importers and distributors: to mark their identity on the equipment, to keep a
register of from whom they buy, to whom they sell (with the exception of
consumers) at the different steps in the supply chain –
easier to use and more effective safeguard
clauses –
penalties for administrative non-compliance This option also includes the improvement
of cooperation with MSAs in countries exporting to the EU so that they
contribute to raise awareness of EU regulatory requirements among those
manufacturers within their jurisdiction. This cooperation will be sought within
regulatory dialogues between the Commission and third countries, as it has been
the case in the area of toys. -Option A2 includes Option A1 plus the obligation for manufacturers
to register. The manufacturer shall register in an
ad hoc EU central registration system his contact data, and keep them updated.
The system returns a unique company registration number, which the manufacturer
shall affix on all products placed on the EU market. -Option A3 includes Option A1 plus the obligation to register
individual product types. The manufacturer shall
register in an ad hoc central EU registration system each new product type, and
upload part of the technical file. The system returns a number specific to each
product type, which the manufacturer shall affix on each corresponding product.
Product registration intends a quick identification of products and online
retrieval of the technical file by MSAs. This obligation could be applied as
follows: –
The manufacturer registers, and is allocated a
unique manufacturer identifier (mID) –
The manufacturer assigns a unique product
identifier (pID) to each product type. This may be performed well in advance of
placing a product on the market, so that details of both mID and pID are
available when product design takes place –
The manufacturer assesses the conformity of the
product, and affixes the product identifier (mID+pID) to his product –
The manufacturer uploads in a central
registration system a subset of the technical file of the product which has to
be put together as part of conformity assessment -Option A4 includes Option A1 plus the
possibility for the Commission, through the use of delegated powers conferred on the basis of article 290 TFEU, to introduce product registration for
some specific categories of equipment, where
following the entry into force of the revised Directive a high level of
compliance has not been achieved in those categories. –
The Commission, following consultation with
Member States and interested parties, would decide on a regular basis whether
and for which product categories registration would become mandatory or would cease
to become mandatory. Categories of products to be considered for product
registration would be identified on the basis of evidence provided by MSAs, and
taking into account other circumstances such as particular market/technology
situations and availability of alternative enforcement measures. Depending on
the situation of the categories of equipment covered by the delegated act, this
may be accompanied by a specific impact assessment –
All manufacturers producing equipment within
those categories would be required to register relevant products as long as the
measure is in force. Exceptions could be considered for those manufacturers
implementing the most comprehensive conformity assessment module, i.e. Full Quality Assurance module according to Annex V of the
Directive –
The Commission would be in charge of implementing
and operating the central EU registration system A clear majority of industry
representatives have favoured option A1, and strongly opposed options including
product registration (options A3 or A4), alledging that it would bring
significant additional burden upon law-abiding manufacturers but could still be
circumvented by other manufacturers . Consumer representatives support option
A3. Market surveillance authorities are equally split among those who value the
increased efficiency and effectiveness of enforcement under option A3, and
those who consider it unnecessary burden (see section 7.2 for more detail,
as well as Annex VI and refs. [9] and [12]) 6.2. Options
addressing objective B -Option B0 is the status quo including the regular update of the ‘Guide
for the implementation of the Directive’ -Option B1 includes: –
alignment of
definitions, obligations and conformity assessment procedures with the NLF
for the Internal Market for goods[45] –
the clarification of currently problematic
provisions on the basis of the current ‘Guide for the implementation of the
Directive’; inclusion of obligations of internet-based economic operators –
simplification of
administrative obligations including the ‘Alert Sign’ informing users of
restrictions to use, and the suppression of a number of administrative
obligations (see section 4.2) including notifications as per article 6.4
–
the improvement of consistency with the
Regulatory Framework for Electronic Communications and the Radio Spectrum
Decision. This includes the alignment of definitions in the area of electronic
communications and the introduction of explicit references in the Directive to
other EU requirements for use of radio equipment Suppression of notification to Member
States of the placing on the market of equipment using non-harmonised bands, as
currently provided for by article 6.4, is compensated with an enhancement of
existing non-legislative measures providing information to stakeholders on regulation on the use of spectrum at EU and national
level, namely the R&TTE sub-classes[46] under
article 4.1 and the EFIS database[47]. -Option B2 includes option B1, plus
the introduction of additional provisions to deal with some specific
technologies and to address interoperability with accessories, and an extension
of scope so that it includes all radio transmitters, radio receivers, and
fixed terminals: –
introduce specific provisions for complex
installations, for software defined radio equipment, and for equipment likely
to create cumulative effects; a new general essential requirement for
interoperability with accessories –
clarify that the essential requirement in
article 3.2 applies to reception performance of radio equipment, and include
within the scope of the Directive all equipment which intentionally emits or
receives radio waves; this would add to the current scope receive-only TV and
sound broadcast equipment and intentional radiators non-capable of
communication -Option B3 includes
option B1, plus the introduction of additional provisions to deal with some
specific technologies, an empowerment to the Commission to facilitate
the application of the Directive and to address interoperability with
accessories, and a scope restricted to radio transmitters: –
introduce specific provisions for software
defined radio equipment and for equipment likely to create cumulative effects
(but not for installations) –
confer delegated powers to the Commission on the
basis of article 290 TFEU in two areas to introduce additional requirements in
two areas: conformity assessment of software defined
radio equipment, and interoperability between specific
categories of equipment and accessories –
confer implementing powers to the Commission on
the basis of article 291 TFEU to take binding decisions on consistent
application of the Directive to future products and technologies in matters
such as definitions, scope and requirements –
clarify that the essential requirement in
article 3.2 applies to transmitters but does not apply to reception performance
of radio equipment; include within the scope of the Directive intentional
radiators non-capable of communication, and exclude all receive-only equipment.
Improvement in the performance of
receivers, left outside the essential requirement in
article 3.2, is to be pursued through voluntary
standards reflecting the state of the art. When necessary the Commission may
issue standardisation mandates requesting the development of such standards –
remove fixed terminals from the scope of the
Directive, which would become a Directive for radio equipment; leave competition
issues affecting terminals to general competition law and to Directive
2008/63/EC[48] Both industry and MSAs generally support
simplification measures in Option B1, as well as adaptations to specific cases
in options B2 and B3. Opinions are more divided with regard to the inclusion of
broadcast receivers within the scope of the Directive: manufacturers are
clearly opposed, network operators and frequency managers are clearly
supportive (see also section 7.3, as well as AnnexVI and ref. [12]). 6.3. Options
addressing objective C -Option C0 is no
new EU action. -Option C1 includes several non-legislative measures: – to put in place a single point of contact for the request of EU-wide
experimental licences for use of radio equipment – an action plan led by the Commission to achieve a stronger
relationship between responsible entities within the regulatory framework for
radio equipment, in particular CEPT, notified bodies and standardisation
bodies. This would include measures such as the systematic exchange of information
on planning and operational processes, exchange of personnel, co-located
meetings, etc – an information campaign improving awareness by companies and SMEs on
the regulatory framework for the use of radio equipment -Option C2
includes option C1 and two legal changes: the creation of a special category of notified bodies, who
would give opinions on the more innovative radio equipment, and who would be
required to engage with CEPT and with ETSI in order to have access to an
appropriate level of information; second, the setting up of a central EU
body which would be empowered to allow the placing in the market and the
use of a limited amount of radio equipment within well defined geographical
areas and periods of time, so as to provide the conditions for a quick
commercial start and uptake. The body would be supported by an EU level
competence centre which might be attached to an existing body (e.g. BEREC[49]),.
Temporary authorisations could be extended, made permanent or be reversed,
including a possible withdrawal of previously authorised equipment. Industry and public authorities generally
support the measures included in Option C1. Measures in Option C2 have been
proposed by individual companies and authorities, but are not clearly supported
by a category of stakeholders (see also section 7.4 and ref. [11]). 7. Analysis
of impacts The Impact Assessment report uses data
collected during 2 public consultations, numerous formal and informal exchanges
with stakeholders and the external study carried out by Technopolis on the
impacts of a possible registration system for R&TTE equipment. While every
effort has been undertaken to base the proposed analysis on evidence, it must
be recognized that some data are not available or have not been sufficiently agreed
by stakeholders, in particular with regard to the administrative costs and
benefits of a possible registration system. The impacts of the three respective
baseline options have been described in detail in chapter 4, in particular
section 4.8, and will not be repeated here. They are consistently used as the
benchmark for comparison of the options involving new EU action and are
therefore also included in the summary tables. 7.1. Identifying
impacts All options will be assessed in terms of
effectiveness in achieving the objectives. Further, the main impacts to be assessed
are social impacts, driven by the improvement of compliance with
requirements protecting the the good operation of communications equipment used
by consumers, business and public service and the health and safety of users
and other citizens. Reduction of regulatory barriers for innovation facilitates
access to the market of new products, enhances consumer choice and increases
value-added for consumers. According to present knowledge, no significant
impact on employment of the options considered can be foreseen. Economic impacts consist of an improvement in the functioning of the internal market,
an efficient use of spectrum and the administrative costs induced by the
Directive, as well as some competition and innovation aspects. Many of these
impacts are indirect, driven by intended improvements in simplicity in the
operation of the Directive and in legal certainty. Specific impacts on SMEs
are described as appropriate[50]. Due to the overall limited impact on the
costs resulting from the options considered, it is not expected that it creates
price increases that may negatively affect consumers. If on specific
products moderate price increases were nevertheless to materialise, in
particular under options B2 and B3, it is expected that the latter would be
largely offset by the benefit of greater reliance on the product quality. With regard to environmental impacts,
disposal of R&TTE equipment is already regulated by a number of existing
pieces of legislation (see section 3). Options considered in this report
do not present significant environmental impacts. 7.2. Options
addressing objective A: To achieve improved enforcement and compliance with the
Directive Four impacts are relevant here: impact on compliance
– and through compliance on the social benefit of improved and safe operation
of equipment-, administrative costs for companies and administrations, direct
cost of a registration system, and impact on trade with
third-countries. 7.2.1. Effectiveness: In spite of significant efforts undertaken
by the Commission together with Member States and economic operators in order
to assess the impact on compliance of the different options[51],
views on this matter of different stakeholders have remained very divergent.
Furthermore, though product registration applies to different subsets of radio
equipment in countries such as US, Canada and Singapore, they do not provide
information on resulting levels of compliance. It is therefore important to
explain which and to what extent elements in each option contribute to improved
compliance. Option A1 – alignment of the Directive
to the NLF The improved legal tools (obligations of
importers and distributors, traceability, safeguards, penalties) intend to
increase the effectiveness of enforcement by MSAs. Stakeholders have provided
the following estimation of the impact of the NLF alignment on compliance: –
Some 50% of Member States and most economic
operators expect a high impact of the alignment to the NLF on compliance in the
R&TTE area (see ref. [9]). In the course of the 2010 public
consultation a majority of respondents expected from the NLF alignment a medium
(43%) to strong (28%) impact on compliance. SMEs were equally positive with 60%
indicating a medium impact and 12% a strong impact (see ref. [12]) –
A similar fraction of Member States (ca 50%)
considers that, taking into account current difficulties to allocate more
resources to market surveillance, in the absence of other instruments allowing
to improve efficiency of MSAs only a limited positive improvement with regard
to the current situation can be expected (see ref. [9]) With regard to the growing share of imports
in the R&TTE area, the obligations of importers and distributors to check
that appropriate conformity assessment has been carried out, and their role in
providing feedback on enforcement measures (e.g. market withdrawals) are
expected to have a positive impact on compliance by manufacturers based outside
the EU. In addition to this, improving cooperation between EU authorities and
those in the main exporting countries, i.e. China, US, Japan and Korea (see
Annex III) is also necessary in order to educate extra-EU manufacturers and
importers and to dissuade them from placing non-compliant products on the EU
market. Considering the divergence of economic interests among trading
partners, a significant additional contribution to compliance as a result of
such cooperation is however uncertain. Taking into account
the elements above, the conclusion is that this option should provide an
improvement of compliance ranging between moderate and significant. Option A2 – NLF alignment +manufacturer registration - includes two
additional elements for MSA efficiency on top of option A1: the online
availability of up-to-date manufacturer’s contact data in a central database facilitates a
reduction of delay in contacting manufacturers responsible for R&TTE
products; as the contact data are not product specific, the reduction would in
some cases be more effective than in others. Also, MSAs can easily withdraw
from the market products without manufacturer registration number. The additional effect on the efficiency of
MSAs and therefore on compliance should be positive but limited, as seen by
most MSAs (see ref. [9]). Option A3 - NLF alignment + product registration -
provides improved efficiency in market surveillance and has an educational
impact on manufacturers: First, product registration provides quick
access to the technical file of registered products; this should allow in
most cases to check whether conformity assessment has been performed or not.
When necessary, online availability of
product-specific manufacturer’s contact data in a central database facilitates a reduction of
delay in obtaining further details about the process. Though no common picture
of the potential improvement could be obtained, one MSA provided the following
estimation (see ref. [9]): –
Difficulties for contacting the responsible
entity arise in 50% of the cases, entailing a time effort ranging between 0.25
and 0.75 manXdays. Taking into account time spent
analysing the technical documentation and planning lab tests (average 1.5
days), the MSA estimates an overall gain of up to 10-15% in time/resources
allocated to market surveillance. Product registration also allows to eliminate
the current delay for obtaining the technical documentation for the product,
which is currently estimated to be of 4 weeks on average, and therefore
reaction time of MSAs would be improved by several weeks. Second, product registration allows MSAs to
easily detect and withdraw from the market non-registered products, and
products identified as non-compliant. Third, on the basis of the aggregate set of
registered products, MSAs obtain an overview of the market to be surveyed.
This allows devise programmes for market surveillance accordingly, and to
request appropriate means from budgetary authorities Fourth, a user-friendly online product
registration tool obliges manufacturers to go step by step through all
necessary regulatory steps specific to each product. This is expected to improve
awareness by manufacturers of their obligations under the Directive, and is
particularly relevant for the majority of manufacturers located outside the EU. Respondents to
the 2010 stakeholder assessed the impact of product registration on compliance
as medium 31% (48% for SMEs) or significant 34% (18% for SMEs). The incentive
matrix with which manufacturers are confronted evolves with option 3: Table 3. Evolved incentive matrix for
compliance under R&TTE Directive under option 3 Barrier/Incentive for compliance || Probability of effective sanction in case of non compliance High || Low Perceived cognitive barrier to compliance || High || || Low || || The new matrix is characterised by a lower perceived cognitive cost
of compliance, and a higher risk of sanctions in case of non-compliance. The
change in the incentive matrix should drive compliance further up from the
levels attained with options A1 and A2. Some allowance for inefficiency and
forgery in the product registration system itself should however moderate the
increase in compliance resulting from this option. Option A4
should have similar impact as Option A3 on effectiveness addressing compliance
in those equipment categories which become subject to product registration. For
other equipment categories, impact of effectiveness is similar as for Option
A1. As Option A4 only brings in the obligation to register products for those
categories where a high level of compliance has not been attained, a better
cost/benefit ratio is expected. 7.2.2. Impact
on administrative costs Option A1
entails some additional administrative costs, resulting for example from the
obligation of economic operators to keep a register of suppliers and buyers of
equipment, which are perceived as non-problematic by manufacturers (see ref.
[9], [12][52]). With regard to Option A2,
manufacturers consider that effort associated to a one-time registration of the
manufacturer itself would be negligible. Adding an additional manufacturer ID
to all products would create design problems since there are already many
global labelling requirements and limited space on product labels (see ref. [9]). The impact of Option A3 on
administrative burden is perceived as much more significant than for the other
options. 32% respondents to the 2010 consultation (but only 12% of SMEs[53]) assess the impact as
significant against only 10% for the NLF alignment. Main burdens generated by
this option are the following (see ref. [9]): –
Training staff to become acquainted with the
system: this is a one-time investment, also common to option A2 above, and not
considered significant by industry –
Upload manufacturer information, obtain
manufacturer Id and a range of product Ids. This is again considered not significant
by industry –
Upload product specific information: this
implies selecting appropriate information, formatting, performing
confidentiality checks and actually uploading the information. This is
considered to be significant by industry, actual effort would depend on the
precise subset of technical documentation required –
Manage correspondence between product Id,
technical file and product labelling: this is again considered significant. In
the case of supply chains involving subcontractors, this may imply revision of
legal agreements in order to allocate responsibilities under the product
registration scheme –
Design equipment to accommodate a new label, and
organise production to ensure correspondence between products and product Ids.
This is considered problematic, mainly because of already existing labelling
requirements in the EU and other economic areas, and the limited space on
products Manufacturers have not been able to provide a systematic estimation
of resources required to cope with these tasks. Both written and oral requests
on behalf of the Commission to provide such estimation were declined by
companies and industry associations[54].
Some elements gathered were the following: –
For a large manufacturer with many products,
industry representatives indicated that the additional workload could mean
several additional full-time staff. (see ref.
[9]). –
A large manufacturer indicated the need to
recruit 2 additional employees, an additional cost of ca. 1500000 €/year to
cope with obligations under Option A3. –
Additional burden is expected to be lesser for
SMEs with fewer products on the market and for whom the operation of the system
presents less challenges of complexity (see ref.
[8]) –
Additional burden arising from collecting,
formatting and uploading product specific information seems to derive from the
way in which companies comply in practice with their obligations under the
Directive: “It seems that while firms (especially large companies) collect
all necessary data as expected by the regulation when a new product is
introduced onto the market, they do not edit a fully comprehensive report every
time. Rather, and although manufacturers have all information on their
databases, such fully comprehensive reports are only edited ‘on demand’, i.e.
when an MSA asks for the required information. That way, the companies in
question save the work to actually produce reports in most cases (i.e., the
work needed to copy and paste the information, create table of contents etc.)
and are able to implement higher ‘internal’ (information) security
standards (e.g., by implementing separate access barriers for certain employees
to certain types of information). The additional time needed is seen in this
context in the need to hire extra persons only tasked to handle the creation of
the reports, and the extra time needed to assemble the information in a
readable way. Additional costs would be negligible if the companies were to
create the Documentation in such a way every time, i.e. also when no MSA is
requiring the information (which is what many MSAs seem to expect from the
companies). However, in practice cost increases would occur (although they
would likely also be present if the current system could be enforced more
stringently). (see ref [8]) Should the current obligation to
establish a technical file prior to the placing of a product on the market be
systematically fulfilled, additional costs would be limited. There is no impact on time to market: provision
of a pool of product Ids to a company can be done in advance, allowing
companies to plan for their use. Product registration can be designed to
integrate existing notifications as per article 6.4 (see section 4.2.4
above), so that registration facilitates market access without additional
procedures. An obligation to register products as in
option A3 is already in place in countries such as US, Canada and Singapore. In
view of their experience, no relevant impact on product diversity and consumer
choice in the EU market is foreseen. For Option A4, additional
administrative burden linked to product registration (i.e. training, formatting
and upload of information, labelling, etc) would only apply for those product
categories required to apply registration, i.e. those showing persistently low
compliance levels. The total administrative costs would therefore be much more
limited than for Option A3. As Option A4 targets problematic product categories
and implies less burden for industry as a whole, its overall efficiency is
expected to be higher than for Option A3. 7.2.3. Direct
costs of the options Options A2, A3 and
A4 entail direct costs for the implementation and
maintenance of a registration system. A
conservative estimate of these costs for option 3, implying the most complex
system yields estimated investment costs of 300000 €
and estimated annual maintenance costs of: 30000 € (see Annex X for
the assumptions considered). A system
limited in scope to some categories of products, as in Option A4, would
of course imply lower costs; the reduction need not be proportional. As for the
system in option A2, costs would be very limited. 7.2.4. Impact
on third countries: Some 80% of equipment placed on the EU
market is manufactured abroad, and manufacturers outside the EU would have to
comply with an obligation to register in case the relevant options are adopted.
In the case of option A4, observed low compliance shows that some categories of
low-cost products manufactured in East Asia might become subject to
registration. Associated administrative burden and cost would particularly
apply to them. A Commission proposal to introduce
registration in the R&TTE area would have an impact on the role of the EU
as an effective model of liberal regime in the area of technical barriers to
trade. Introducing registration in the R&TTE area may be perceived as
questioning the effectiveness of the New Approach regime in protecting public
interests, and could make less attractive the adoption of the EU regulatory
approach by our trading partners. 7.2.5. Comparing
the options addressing objective A. Preferred option The table below summarises the impacts
assessed[55]. As a summary, the alignment to the NLF and
the improved cooperation among MSAs (Option A1) should increase
compliance with limited increases in administrative cost. The simplification measures
considered below under objective B should further contribute to the improvement
of compliance. Manufacturer registration as per Option A2 provides only
limited value-added to market surveillance tasks. Full product registration as
per Option A3 may provide significant improvement of effectiveness and
efficiency of market surveillance, but is perceived by industry as a
significant additional burden. Option A4 allows to adopt a flexible and
proportional approach: to perform the alignment of the R&TTE Directive to
the NLF, and to introduce registration in some specific product categories
where a high level of compliance has not been attained as shown by careful
examination. Option A4 provides the best balance between the social
benefit of improved compliance and the economic imperative to avoid unnecessary
burden, and is therefore the preferred option. Table 4. Summary table
comparing options addressing objective A || Effectiveness in achieving objective A || Cost and efficiency || Coherence Option A0 || 0 || 0 || 0 Option A1 || +/++ Moderate to significant || - Increase of administrative requirements, in particular for importers and distributors || +++ NLF alignment improves coherence with other New Approach legislation Option A2 || +/++ Limited impact on top of A1 || -/+ Perceived as a small increase of burden by manufacturers Limited improvement in the efficiency of MSAs || +++/- Idem NLF / Slight depart from New Approach legislation Option A3 || +++ Additional instrument for effective enforcement of obligations and education of companies || --/++ Perceived as a significant increase of burden by manufacturers Improves efficiency of MSAs Estimated 300000€ investment || +++/-- Idem NLF / Departs from New Approach legislation Option A4 || ++ Additional measures only for problematic categories || -/+++ Smaller increase in burden for industry than Option A3 Higher overall efficiency than Option A3 || +++/- Idem NLF / Departs from New Approach legislation in justified cases 7.3. Options
addressing objective B: To make available a sound legal basis for the implementation
of the essential requirements 7.3.1. Effectiveness. Option B1:
the NLF intends, among other objectives, to clarify and to bring consistency to
many definitions and obligations common to New Approach legislation such as the
R&TTE Directive. This is an aspect which benefits from an important
consensus among the R&TTE constituency (see ref. [10]). Avoiding
current confusion between the obligation to affix the alert sign and the
obligation to notify equipment using non-harmonised bands (article 6.4) is
important for manufacturers, as shown by numerous discussions within TCAM. We
may therefore speak of a significant clarification and improvement of coherence
from Option B1. Many Member States use notifications in
article 6.4 to communicate with manufacturers on applicable spectrum
regulation, and to identify needs for further spectrum harmonisation.
Suppression of this communication channel is to be compensated by currently
ongoing improvements in information provided to manufacturers by the list of
R&TTE equipment sub-classes, which provide information on available
restrictions to use, in the EFIS database, which provides some information on
spectrum allocation and designation at European and national level but which is
yet incomplete and not up-to-date, and by other non-legislative measures
considered under objective C in section 6.3. Option B2, with
the introduction in the Directive of provisions specific to the cases of
software defined radio, installations and cumulative effects, provides
in general companies and authorities with a clearer, more fit-for-purpose legal
basis. Specific issues and possible drawbacks to take into account are the
following: ·
In the area of software defined radio, there are
yet important unknowns about the actual risks created by software uploads,
about the future extent of competition in the provision of third-party software,
and in general about future technology and its market uptake. New provisions
may not be future-proof ·
Installations are not placed on the EU market.
There is less value-added in harmonising legislation applicable to them than it
is the case for products. Co-existence with national legislation for
installations may still be necessary in many cases, making the case for
harmonisation weaker ·
A general requirement for interoperability with
accessories may be inapplicable due to disagreements within industry on
technology. Systematic intervention by the Commission would mean a
counterproductive interference with technology choices in the market Option B2 brings the benefit of
unifying interpretation of the essential requirement 3.2, which would include
performance of reception. This facilitates the task of ETSI in developing
harmonised standards, and also allows to plan a more efficient use of spectrum.
This is important in view of the increased demand for this scarce resource, and
in particular for the coexistence in the same bands of broadcast services and
other electronic communication services. It ensures that consumers only have
access to receivers with sufficient performance to work properly in situations
of intense use of spectrum, and therefore brings the social benefit of
protecting user experience. This approach is strongly supported by mobile
network operators and by spectrum authorities (see ref. [12]). Including within the scope of the Directive intentional radiators
non-capable of communication and broadcast receivers brings under the same
legislation all equipment concerned by the essential requirement, which allows
to unify requirements on equipment using spectrum for different purposes and
simplifies market surveillance. Option B3
brings in the benefits of option B2 with regard to application of the Directive
to challenging technologies, but tries to avoid its drawbacks through the use
of Commission implementing and delegated powers, allowing to timely react to
future developments in technology or in the market. This is particularly
valuable in the case of software defined radio, where the technology and the
forms of cooperation between manufacturers of hardware and software are yet to
be developed. With regard to interoperability with accessories, the possibility
in option B3 to introduce requirements in the future provides an incentive to
market actors to solve the issue by themselves, thus making EU intervention
exceptional, which is desirable in order to avoid hampering innovation. Option B3 also brings the
benefit of unifying interpretation of the essential requirement 3.2 with regard
to reception, though in a different direction than in option B2: the
requirement would not be applicable to receive-only equipment, which would be
excluded from the Directive. Performance of receivers would be left to
voluntary standards and to the market, as it is currently taking place for
co-existence of services in the 800 Mhz band. This option is clearly preferred
by manufacturers (see ref. [12]). In the context of a more intense use
of radio spectrum, some consumers having purchased underperforming receivers
may suffer a degradation of their experience. Again, bringing within the scope of the
Directive intentional radiators non-capable of communication brings under the
same legislation all equipment intentionally using spectrum and therefore
concerned by avoidance of interference, which unifies requirements and
simplifies market surveillance. In addition, Option
B3 unifies and simplifies the legal framework for fixed terminals (see
4.2.2), which would be the EMCD[56]
and the LVD[57]
(or GPSD[58]
in some cases). The R&TTE Directive would become a simpler Directive on
Radio Equipment with a clearer scope. A side effect of this simplification is
to remove the possibility of introducing additional interoperability or
accessibility requirements for fixed terminals and for pure receivers (e.g.
Galileo/GPS receivers) on the basis of currently applicable article 3.3. 7.3.2. Impact
on administrative and compliance cost Alignment with the NLF (Option B1) involves
some reduction of administrative cost for manufacturers (see table below). Other elements in Option B1 further
provide reduction of administrative cost for manufacturers. Suppressing article
6.4 has been referred in the context of the 2010 public consultation (see
ref. [12]) as a significant reduction of burden. Less important was
considered the suppression of the Alert Sign. SME participating in the
consultation did not present any specificity in their valuation of this impact. Table 5. Administrative obligations under
Current R&TTE Directive and NLF Administrative obligations for manufacturers || Option B0 - Current R&TTE D || Option B1 (NLF) -CE marking -Notified Body number -Alert Sign -Manufacturer's name, product id, unique id -Indication of the countries where the equipment is to be used -Indication of restrictions of use -Indication of relevant interfaces for use -Provision of a DoC with the product -Prior notification of equipment using non-harmonised bands || 3x:(equipment, package, user instructions) 3x:(equipment, package, user instructions) 3x:(equipment, package, user instructions) 1x (equipment) 2x (package, user instructions) 1x 1x 1x -required || 1x : (equipment) 1x : (equipment) 1x (equipment) not required Option B2
creates some additional compliance cost for manufacturers of software defined
radio, i.e. an obligation to introduce mechanisms which ensure that only
compliant software is uploaded, and for installers of fixed installations if
explicitly covered by the Directive. Systematic requirements on
interoperability with accessories may bring in important transitional costs for
manufacturers obliged to adapt to new technical specifications. Under option B2, a number of R&TTE D
obligations would become applicable to intentional radiators and to broadcast
receivers, what entails some compliance costs (see table below). –
complying with the essential requirement in
article 3.2 may entail some additional testing and costs, ranging between
quasi-nil for those products already subject to comprehensive testing, and a
range of 2000-4000 EUR[59]
per product type where the manufacturer opts for the introduction of external
testing in order to assess compliance with the requirement. In the short term,
in the absence of specific harmonised standards for these products, the opinion
of a notified body would be required, with additional costs ranging between 500
and 1500 EUR[60]
per product type. An appropriate mitigation measure to avoid such worst-case
situations would be an additional delay for implementation allowing for the
development of harmonised standards which would make consultation of a notified
body optional –
the R&TTE Directive removes the voltage
limitation (50 AC, 75 DC) of the LVD, therefore the LVD safety requirements are
of application. Manufacturers have indicated that this entails additional
testing and costs. However, under the GPSD safety of products also has to be
tested and therefore the change of applicable legislation should only bring
some limited additional administrative cost The impact of these
additional compliance costs on individual products may be estimated as ranging
between practically nil for products which already are comprehensively tested
by manufacturers and up to 50 € in the extreme case of products sold in small
quantities when full testing and the opinion of a notified body is newly
required. (see Annex XI for the assumptions considered). Leaving aside
exceptional situations, those products for which lower quantities are sold are
also products incorporating higher value added and more expensive products,
therefore the possible increase in prices is not substantial in relative terms,
even in the absence of mitigation measures. Sufficient delays for the entry
into force of the new scope should in practice eliminate the need for
manufacturers to contract external testing and to consult with notified bodies,
leaving them the option to declare conformity on the basis of harmonised
standards and in-house tests. As for additional administrative burden: –
article 6.3 obliges to provide the DoC with the
product; this obligation can currently be fulfilled in the form of a standard
simplified DoC –
article 6.3 obliges to provide information to
the user on available interfaces, on the geographical area for intended use of
radio terminals (and on possible restrictions to use, not applicable to
broadcast receivers) –
one-time costs for referring to the R&TTED
in the DoC of product types already present on the market under EMCD and
LVD/GPSD; an additional delay for implementation limits the need for this
adaptation to product types not phased out by manufacturers within the given
delay Table 6. Additional requirements under
R&TTE Directives compared to EMCD + LVD/GPSD || R&TTE D requirements additional to EMCD + LVD/GPSD Substantive requirements || -essential requirement 3.2 (avoidance of harmful interference) -safety requirements of LVD apply also for equipment outside the 50V-1000V AC / 75V-1500V DC voltage range, in particular for battery-powered equipment Administrative obligations || -provide the DoC with the product -inform the user about available interfaces and geographical areas for use -alert on restrictions to use (not applicable to pure receivers) Negative impacts on
cost and burden with regard to broadcast receivers were highlighted by a
majority of manufacturers during the 2010 public consultation, where no
specific SME issues where apparent. The use of delegated powers in option B3
allows to limit additional cost generated by requirements on SDR equipment and
on interoperability with accessories to those cases where the benefits are
clearly justified. Option B3, like option B2, would create some additional cost
for intentional radiators non capable of communication, which would fall under
the scope of the R&TTE Directive (see above the discussion of additional
cost for broadcast receivers under option B2) . This option would reduce
some administrative cost for receive-only radio equipment and for fixed
terminals which would become excluded from the scope of Directive. 7.3.3. Comparing
the options addressing objective B. Preferred option The table below summarises the impacts assessed above: In summary, Option B1 achieves
clarification, simplification, reduction of burden and improvement of
coherence. Option B2 further clarifies and improves the legal basis in
dealing with SDR, intentional radiators and receivers. Requirements on
performance of reception may be used to increase efficiency in the use of
spectrum and improving user experience, but entailing additional compliance and
administrative costs. Option B3 allows to clarify the application of the
Directive to current and future specific cases, sets clear criteria for its
scope in relation to the EMCD, and reduces or avoids regulatory requirements on
the performance of receivers and associated compliance costs, leaving
performance of receivers to the choice of manufacturers and consumers. It
provides a good balance between protecting the good operation of radio
equipment by consumers, businesses and public services and avoiding to regulate
issues which may be left to the market, Option B3 is therefore the
preferred option. Option B3 is therefore the preferred
option. Table
7. Summary table comparing options addressing objective B || Effectiveness in achieving objective B || Side effects || Cost and efficiency || Coherence Option B0 || 0 -Guide to the Directive provides non-binding interpretations || 0 || 0 || 0 -Different approaches among Member States Option B1 || ++ -Significant clarification of existing provisions || + -Improved compliance (objective A) -Removing article 6.4 may reduce information to manufacturers on spectrum regulation || ++ Some reduction of administrative requirements || ++ -Improves coherence with other internal market legislation and the Regulatory Framework for Electronic Communications Option B2 || ++/- -Clarifies application of the Directive to specific technologies -Limited value-added of a EU-wide legislation for installations. -A general requirement for interoperability with accessories may be inapplicable due to disagreements within industry -Improves legal certainty bringing all receivers under the R&TTE -Improves protection of spectrum bringing all intentional radiators under the R&TTE D || +/- -May be used to deal with receiver aspects in improving efficiency in the use of spectrum -A general requirement for interoperability with accessories may deter innovation || -- -Some additional cost for SDR manufacturers and for installators -Additional cost due to general interoperability obligation -Some additional cost for manufacturers of broadcast receivers and intentional radiators non capable of communication || Option B3 || +++ -Commission powers allow to react to technology/ market/ legal issues arisen during application of the Directive -Improves legal certainty bringing all receivers and all fixed terminals under the EMCD -Improves protection of spectrum bringing all intentional radiators under the R&TTE || - -Requires other measures to support efficient use of spectrum by receivers, e.g. voluntary standards Removes application of additional essential requirements 3.3 to fixed terminals and receive-only equipment (e.g. GPS/Galileo receivers) || +/- -Some additional cost for SDR manufacturers -Some additional cost for manufacturers of intentional radiators non capable of communication -Some reduction of cost for manufacturers of receive-only equipment and of fixed terminals || ++ -Improves coherence with other EU legislation on competition issues for terminals -Implementing powers facilitate consistent application of the Directive across the EU 7.4. Options
addressing objective C: to remove regulatory barriers to innovation in radio
equipment 7.4.1. Effectiveness. It is important to remind that, according
to the report of the TCAM ad hoc group on innovation (see ref. [11]),
the R&TTE Directive does not present major barriers to the use of radio
equipment, it is in the area of regulation for the use of spectrum where the
main issues lie, and the EU has already addressed and continues to address
these issues within its Radio Spectrum Policy. The non-legislative elements in Option
C1 are expected to improve awareness among innovators of the regulatory
system and to achieve better coordination of the current processes necessary
for the placing on the market and putting into service of radio equipment. This
entails a reduction of delays to accommodate novel products within the
regulatory framework and to bring them to the market (see ref. [11]).
Taking into account the nature of these elements, improvements are expected to
be incremental rather than radical with regard to the current situation. Option C2
introduces a regime for temporary authorisation of the commercialisation and
use of radio equipment. This regime would provide a visible EU-wide focal point
for innovators and would allow a significant reduction in time-to-market, of up
to 1-2 years in some cases. However, industry, in particular larger companies,
is reluctant to invest in commercial deployment without regulatory certainty (see
ref. [11]). Coherence with the current process for assessing technical
compatibility of use of spectrum is also an issue, in particular regarding
overlaps between the new competence centre supporting the regime and CEPT,
which is currently in charge of formal compatibility assessments. Empowering a central
EU authority to issue authorisations for the use of spectrum also raises
subsidiarity issues with regard to national competences in this area. As for the creation of a special category
of notified bodies, this could facilitate that innovative equipment receives
opinions with sufficient credibility among authorities. A foreseeable drawback
is the possible degradation of the perceived value of opinions issued by
‘normal’ notified bodies not belonging to the special category, leading to
distortions of competition. 7.4.2. Administrative
and other costs Option C1
involves investment in an Internet portal for experimental licensing[61] and in an information
campaign, which could take place in the context of communication on the revised
R&TTE Directive. Improved communication between CEPT, notified bodies and
standardisation bodies, and better information of companies and SMEs should
bring efficiency improvements for all stakeholders and largely compensate for
those investments. Option C2 involves
the creation of new procedures for accreditation and monitoring of a special
category of Notified Bodies, in parallel to existing procedures. This implies
additional cost for notified bodies and may imply additional human resources in
public authorities (0-2 additional headcount per national authority is an
estimation – source: Commission services). Also within Option C2, a European
competence centre advising the central EU body on temporary authorisations
would need to be staffed, a headcount of 10 persons full-time is a lower
estimate[62].
Withdrawal from the market of temporarily authorised equipment may be
impossible or require very substantial costs for authorities (see ref. [11]). 7.4.3. Comparing
the options The following table summarises the impacts
assessed above: Table 8. Summary table comparing options
addressing objective C || Effectiveness in achieving objective C || Side effects || Cost and efficiency || Coherence Option C0 || 0 || 0 || 0 || 0 Option C1 || + -Incremental improvement of regulatory delays in access to the market for innovations || || + -Some additional administrative costs -Incremental efficiency improvements || + -Improves coherence of the current institutional arrangement Option C2 || +/++ -Improves credibility of opinions of ‘special’ NBs -Important reduction of regulatory delays in access to the market -Temporary authorisation not attractive for commercial investment || -- -Special category of NBs may distort competition among notified bodies - -Important practical difficulties in reversing temporary commercial authorisations || -- Important costs to consider: -Operation of new scheme for accreditation of a special category of NBs -Set up of a new competence centre for temporary authorisations -Withdrawal of previously authorised equipment may be very expensive || -- -Special category of NBs is not foreseen in NLF -Double regime for authorisations, uncertainty among incumbent users of spectrum -Overlaps current role of CEPT -Raises subsidiarity issues Option C1 provides incremental improvements
in time-to-market and efficiency gains for economic operators, regulators and
other entities. Option C2 provides shorter time–to-market but involves
non-negligible additional costs, as well as some institutional drawbacks and
uncertainties with regard the benefits for industry of temporary equipment
authorisations. Option C1 is therefore the preferred option. 8. Preferred
Options On the basis of the analysis in chapter 7, the recommended package
includes options A4, B3 and C1: The combination of options A4 and B3
allows to increase compliance through simplification and clarification of
the requirements in the Directive and the improvement of the legal instruments
for enforcement. The NLF alignment implies a moderate increase of burden, in
particular for importers and distributors. Option A4 also allows
the Commission to introduce product registration for specific product
categories if required by persistently low levels of compliance, additional
burden would only apply to these categories. Option B3 provides clarification and simplification in the legal text and a
few administrative simplifications compatible with the main goals of the
R&TTE Directive. Option B3 also allows to adapt the legal basis to some
specific technologies, and to set out a scope more consistent with the
objective of preventing harmful interference. A full implementation of this
option B3 requires complementary instruments (outside the R&TTE Directive)
to improve information to manufacturers on national spectrum regulation, to
foster efficiency of receivers in the use of spectrum and possibly to address
competition issues raised by terminals. Commission delegated and implementing
powers in this option add the benefit of a timely legal response to technology
and market developments and to issues of consistent application, also further
contributing to improve compliance. Option C1 provides an incremental reduction of regulatory barriers to
innovation, as well as efficiency gains within the current framework. Option C2
would provide more important gains in time-to-market but would also bring
uncertainties for investment and additional cost for authorities Table
9. Preferred options Preferred option || Strengths/advantages || Drawbacks/costs A4 || Flexible and proportional approach to improve compliance: to perform the alignment with the NLF, and if necessary to complement it with product registration in some specific product categories where a high level of compliance has not been attained || Possible additional product registration is perceived by industry as additional burden, not foreseen within NLF obligations Direct implementation and maintenance cost of registration system estimated at maximum 300k€ and 30k€ respectively B3 || Provides clarification and simplification of legal provisions, and future-proof adaptation of scope and requirements in line with the goals of a more focussed Directive covering all intentional radio transmitters Some reduction of burden and cost for pure receivers and fixed terminals, which move out of the scope of Directive || Non-significant additional cost for non-communicating intentional radiators, which would enter within the scope of the Directive (up to a maximum of a fraction of a Euro per product in common cases) C1 || Improves access by companies to regulators and coordination within the current regulatory system for radio equipment || Does not fundamentally streamline the currently existing complex regulatory system Overall, this package of preferred options
is expected to increase compliance and therefore improve protection of users
and of fair competition, to bring increased legal certainty, a smoother and
more consistent application of the Directive and a more comprehensive
prevention of harmful interference, with limited additional burden for market
operators. Beyond the synergies between Options A4 and B3 explained in chapter
7 no other interaction effects are expected between the three preferred
options. Therefore, an additional in-depth assessment of the package is not
considered necessary. At the end of the impact assessment, there
was no indication that the selected options might result in a disproportionate
burden for SME. Consequently, there is no element showing the need for SME
specific measures in order to ensure compliance with the proportionality
principle 9. Implementation,
Monitoring and Evaluation 9.1. Transposition
and implementation In order to facilitate the transposition of
the Directive in a way which is consistent across Member States and with the
intention of the EU legislator, the Commission plans to organise one or more
workshops with responsible national ministries during the period provided for
transposition of the Directive by Member States. 9.2. Reporting
and review The table below summarises the core
indicators of progress towards meeting the objectives for the revision of the
Directive. Table
10. Core indicators of progress || Indicator || Approach Compliance || Administrative and technical compliance ratios || Periodic reports from Member States Administrative simplification and legal adaptations || Induced administrative cost and burden, number and relative relevance of issues of interpretation || Regular exchange with stakeholders - economic operators, authorities and notified bodies Regulatory barriers to innovation || Perceived simplicity of introducing innovations || Regular exchange with stakeholders In accordance with the proposal, Member
States would have a new obligation to send to the Commission biannual
reports on the application of the Directive. The reports should cover market
surveillance activities performed and provide information on the level of
compliance with the essential requirements in the Directive. This obligation
would consolidate common practice and should not increase administrative costs. Further information is to be collected through regular exchanges
within TCAM, the standing committee of the Directive, which in addition
to Member States includes representatives from industry, European Standards
Organisations, Notified Bodies and consumer organisations. The Commission
plans to review the operation of this Directive and report thereon to the
European Parliament and to the Council
every five years. ANNEX I. LIST OF
ACRONYMS AND GLOSSARY List of acronyms: –
ADCO R&TTE: Administrative
Co-operation group in the R&TTE area –
CEPT: European Conference of Postal and
Telecommunications Administrations –
DoC : Declaration of Conformity –
EFIS: European Communications Office
Frequency Information System –
EMC: Electromagnetic Compatibility –
EMCD: Electromagnetic Compatibility Directive,
Directive 2004/108/EC –
GPSD: General Product Safety Directive, Directive
2001/95/EC –
ISM: industrial, scientific and medical –
ITU: International Telecommunications Union –
LVD: Low Voltage Directive, Directive
2006/95/EC –
MSA: Market Surveillance Authority –
NB: Notified Body –
OSN: One Stop Notification –
PMR: Private Mobile Radio –
RSD: Radio Spectrum Decision, Decision
676/2002/EC –
R&TTE : Radio and
telecommunications terminal equipment –
SDR: Software Defined Radio –
TCAM : Telecommunications Conformity
Assessment and Market Surveillance Committee Glossary: Some definitions from the R&TTE
Directive: –
harmful interference:
interference which endangers the functioning of a radionavigation service or of
other safety services or which otherwise seriously degrades, obstructs or
repeatedly interrupts a radiocommunications service operating in accordance
with the applicable Community or national regulations –
interface: can mean (a)
a network termination point, which is a physical
connection point at which a user is provided with access to public
telecommunications network, and/or (b)
an air interface specifying the radio path
between radio equipment –
radio equipment:
a product, or relevant component thereof, capable of communication by means of
the emission and/or reception of radio waves utilising the spectrum allocated
to terrestrial/space radiocommunication –
radio waves:
electromagnetic waves of frequencies from 9 kHz to 3000 GHz, propagated in
space without artificial guide –
telecommunications terminal equipment: a product enabling communication or a relevant component thereof
which is intended to be connected directly or indirectly by any means
whatsoever to interfaces of public telecommunications networks (that is to say,
telecommunications networks used wholly or partly for the provision of publicly
available telecommunications services) Some definitions from ITU Radio
Regulations 2008: –
broadcasting service: a radiocommunication service in which the transmissions are
intended for direct reception by the general public. This service may include
sound transmissions, television transmissions or other types of
transmission –
industrial, scientific and medical (ISM)
applications (of radio frequency energy):
operation of equipment or appliances designed to generate and use locally radio
frequency energy for industrial, scientific, medical, domestic or similar purposes,
excluding applications in the field of telecommunications –
radiodetermination: the determination of the position, velocity and/or other
characteristics of an object, or the obtaining of information relating to these
parameters, by means of the propagation properties of radio waves –
telecommunication: any transmission, emission or reception of signs, signals, writings,
images and sounds or intelligence of any nature by wire, radio, optical or
other electromagnetic systems ANNEX II. PRODUCT
SCOPE OF THE R&TTE DIRECTIVE The following
codes and categories under NACE/Prodcom classification contain most products
falling within the scope of the Directive: Table A2.1 Product scope of the R&TTE Directive 26.20.18.00 || Machines capable of facsimile transmission, capable of connecting to an automatic data processing machine or to a network 26.30.11.00 || Transmission apparatus for radio-broadcasting and television, with reception apparatus 26.30.12.00 || Transmission apparatus for radio-broadcasting and television, without reception apparatus 26.30.21.00 || Line telephone sets with cordless handsets 26.30.22.00 || Telephones for cellular networks or for other wireless networks 26.30.23.10 || Base stations 26.30.23.20 || Machines for the reception, conversion and transmission or regeneration of voice, images or other data, including switching and routing apparatus 26.30.23.30 || Telephone sets (excluding line telephone sets with cordless handsets and telephones for cellular networks or for other wireless networks); videophones 26.30.23.70 || Other apparatus for the transmission or reception of voice, images or other data, including apparatus for communication in a wired or wireless network (such as a local or wide area network), other than transmission or reception apparatus of HS 84.43, 85.25, 85.27 or 85.28 26.30.30.00 || Parts of electrical telephonic or telegraphic apparatus 26.30.40.40 || Aerials and aerial reflectors of all kinds for apparatus of HS 85.17; parts suitable for use therewith ANNEX III. BASIC
ECONOMIC DATA OF THE EU MARKET COVERED BY THE DIRECTIVE Some basic data of the EU economic sector
manufacturing products falling within the scope of the R&TTE Directive are
shown below. Unless otherwise stated, the data have been obtained from Eurostat[63] in accordance with Annex II
above. Table A3.1 . EU production, consumption and
trade. Values in million € || 2007 || 2008 || 2009 (estimation) EU27 production || 54290 || 52052 || 43131 EU27 imports || 48696 || 49216 || 47781 EU27 exports || 40294 || 40138 || 39260 EU27 internal consumption || 62692 || 61130 || 51652 Some 75% of EU
production is exported, and 80% of EU consumption is imported. This means that ca
80% of equipment placed on the EU market is manufactured abroad. Trade balance is negative and the
trade deficit (-8402 million €) amounts to ca 15% of production. The main
trading partners are US and Asia (China, Korea, Japan). Trade deficit with
China (-12905 million €) offsets a positive trade balance with the rest
of the world (+4503 million €). Imports are more geographically concentrated
than exports. Table A3.2 . EU trade with selected
countries in 2007. Values in million € || Imports || Exports || Balance China || 14590 || 1685 || -12905 Japan || 2375 || 1330 || -1045 South Korea || 5817 || 581 || -5236 US || 13903 || 8558 || -5345 The number of
people employed in manufacturing companies is about 250000 employees Table
A3.3. Number of employees in the EU || 2004 || 2007 Number of employees || 293900 || 257,400 As in other EU industrial sectors, most
companies (99%) belong in the SME category. Table
A3.4. Size of companies Number of employees/company || Number of EU companies (percentage) - 2007 > 250 || 120 (0.87 %) 50 - 250 || 385 (2.90 %) 1 - 50 || 13,270 (96.33 %) Total || 13775 (100%) Larger companies
concentrate up to 76% of total production, on the basis of statistics from 6
countries accounting for 89% of EU production: Table
A3.5. Size of companies Country || Share of production by companies >250 employees[64] Germany || 88% Finland || 94% France || 78% Italy || 50% Sweden || 93% UK || 76,2 Total for 6 countries || 76% Estimations of the number of different
products subject to the R&TTE Directive which are available in the market
range between 3000 and 10000 products. Table
A3.6 Total market size for products falling within the scope of the
R&TTE Directive Source: Technopolis survey Market Surveillance Authority || Estimated market size (2008) in terms of number of product types on the market subject to R&TTE Directive MSA 01 || 3,000 MSA 02 || 4,000 MSA 03 || 5,200 MSA 04 || 7,000 MSA 05 || 10,000 Average of estimations || 5,840 ANNEX IV. SUMMARY
OF THE 2007 PUBLIC CONSULTATION A public consultation took place in 2007, allowing to identify the
main problems in the operation of the Directive as well as the possible
remedies. The consultation used the “IPM” (Interactive Policy Making)[65] tool and was
closed on 30 September 2007. Some 120 questions addressed the following topics: ·
A regulatory framework conducive to investment
and product innovation ·
Simplification ·
Compliance ·
Standard-setting ·
Scope of the Directive ·
Software-defined radio ·
Optimisation of the running of the directive and
coherence with other community legislation Responses were contributed by 60 respondents from the categories of
large company (17), SME (7), regulators (15), notified bodies (4) and others. Some of the issues highlighted were: ·
Difficulties in market entrance for innovative
radio technologies due to the existing process for putting in place the
necessary regulatory decisions concerning spectrum use and harmonised standards ·
The Directive is unnecessaritly complex and its
application is confronted to a number of ambiguous provisions ·
Some stakeholders expressed the wish that, for
some details of the operation of the Directive, TCAM conclusions be binding on
all Member States. ·
There are eighteen administrative provisions in
the Directive and the relevance of some of them was questioned ·
Lack of traceability of the manufacturer or the
person responsible for placing products on the market needed to be addressed ·
Very few cases in which presumption of
conformity conferred by harmonised questions was questioned ·
Particularly challenging appeared to be the case
of equipment reconfigured during operations by users and/or an entity other
than the initial manufacturer, such as ‘Software Defined Radio’ (SDR), or
cognitive radio ·
One third of respondents considered that
installations where not sufficiently addressed in the Directive, half of
respondents considered this was not an issue ·
In practice most NB opinions concerned products
which use harmonised standards to ensure compliance with the essential
requirements of the Directive, but for which manufacturers - due to the often
high technical complexity of conformity assessment - preferred to seek an
endorsement from an experienced and qualified body ·
Some arbitrary demarcations of scope, e.g.
broadcast receivers, lacked a real justification Issues identified through this consultation
were included in the Second Progress Report on the operation of the R&TTE
Directive (see ref. [2]). ANNEX V. LIST OF
INTERVIEW PARTNERS FOR THE TECHNOPOLIS STUDY ‘Impact Assessment concerning a proposed
mandatory registration system in the scope of directive 1999/5/EC’ FINAL REPORT
5.10.2009. Technopolis Group[66].
(ref. [8]) Table 1. List of interview partners Nr. || (Primary) interview partner || Organisation || Country Market surveillance authorities || 1 || Edmund Palkovich et al. || Federal Ministry of Transport, Innovation and Technology || Austria 2 || Stefan Winkelmann et al. || Bundesnetzagentur (BNetzA), German federal Network Agency || Germany 3 || Per G Andersson || Swedish Post and Telecom Agency || Sweden 4 || Loredana Le Rose || Department of Communications, Ministry of Economic Development || Italy 5 || CliveCorrie et al. || Ofcom || UK 6 || Maria Sarantopoulou || National Telecommunications and Post Committee (EETT) || Greece 7 || Hakim LaTrache et al. || Agence Nationale de Fréquences || France 8 || Bert van Dijk || Netherlands Radiocommunications Agency || The Netherlands 9 || Tanel Vinkel || Estonian Technical Surveillance Authority || Estonia 10 || Kati Heikkinen || Finnish Communications Regulatory Authority || Finland 11 || Lucio Cocciantelli || OFCOM/BAKOM – Federal Office of Communication || Switzerland 12 || Albinas Visockas || Communications Regulatory Authority (RRT) || Lithuania 13 || Tor Bringsverd || Norwegian Post and Telecommunications Authority || Norway 14 || Pedro Martins || ICP-ANACOM || Portugal Companies || 1 || Matt Hansson/Jose Prats || Sony Ericsson || Sweden 2 || Mr Esa Barck || Nokia Siemens Networks || Finland 3 || Ms Marita Latovehmas || Satel OY *) || Finland 4 || Mr Stewart Polley || Nokia oyj || Finland 5 || Ms Kristine Kiltgaard Pedersen || Oticon *) || Denmark 6 || Gerhard Doujak || Emporia GSM *) || Austria 7 || Ken Simpson || Belkin Ltd (UK) || UK 8 || Stylianos Tsatalas et al. || INTRACOM TELECOM || Greece 9 || Armin Schoeller/Paul Guckian || QUALCOMM || Germany/US 10 || Dimitrios Scribas || Marac Electronics || Greece 11 || Mario Protopappas || PARISINO *) || Greece 12 || Sergio Pastori || Alcatel-Lucent || Italy 13 || Alessandro Tacchini || Reggio Emilia Innovazione/Laboratorio Nobili || Italy 14 || Francesco Segato || Duolabs || Italy 15 || Andrew Little || Raymarine || UK 16 || Steven Clegg || Mira || UK 17 || Iain King || Link Research *) || UK 18 || Edgar Vangeel || CISCO Systems || Belgium 19 || Tim Cull || Motorola Ltd. || United Kingdom 20 || Stuart Graves || SAMSUNG || UK/Korea 21 || Marion Rühle || ELDAT GmbH *) || GER 22 || Erwin Schmidt || Pepperl & Fuchs GmbH || GER 23 || Antoine Fruhauf || VEGA Grieshuber || GER 24 || Andre Malitte || SHARP || GER/Japan 25 || Per Döfnäs || Ericsson || Sweden 26 || Mats Lindkvist || Ondico *) || Sweden 27 || Nils-Åke Rosenberg || Swedish Radio Systems AB *) || Sweden 28 || Ian van Zyl || Siemens Milltronics || GER/Canada Industry associations and other 1 || George Tannahill || Federal Communications Commission || FCC (USA) representative 2 || Tony Graziano || DIGITALEUROPE || Europe 3 || Stefan Herzog || BITKOM || Germany 4 || Alexandra Schleier || ZVEI || Germany 5 || Joshua Rosenberg || ITIC - Information Technology Industry Council || United States (International) 6 || Feodora von Franz || TechAmerica Europe || United States (International) 7 || Marc Cumps || AGORIA || Belgium *) Firm is an SME according to EU
definition. ANNEX VI. SUMMARY
OF THE 2010 PUBLIC CONSULTATION 0. Introduction As part of the
preparation of the review of the R&TTE Directive[67], the Commission collected
information in an extensive public consultation in 2007, in the 2009 Technopolis
study "Impact assessment study on the option of a mandatory registration
for placing radio equipment on the market which could be introduced in
Directive 1995/5/EC[68]"
and within the standing committee of the Directive (TCAM). The Commission
launched a second public consultation in 2010 in order to collect additional
information on the impact of some of the measures under consideration for the
revision of the Directive and also to reach out to stakeholders who may not
have been able to express their views on the issues and measures under
consideration. This annex presents an overview of the responses obtained. The
questionnaire was online between 16.07.2010 and 15.09.2010 and included 20
questions relative to the following issues: ·
Compliance with the Directive ·
Clarification of the Directive and reduction of
administrative obligations ·
Scope of the Directive in relation to specific
legislation ·
Other issues: accessibility of R&TTE
products A simplified version of the questionnaire
was also available for SMEs and was distributed through the Commission SME
Network, which resulted in the high level of participation of this category. This document summarises some elements of
the responses received. For the statistical analysis of the responses, please
refer to Annex I in ref [12]. 1. Identification and characterisation
of the respondents There was an important participation in
this public consultation as the Commission received 122 replies with a
significant contribution from economic operators (36 companies + 50 SMEs). Participation of public authorities was
more limited, owing to the fact that public authorities have other means to
convey their views on the legislative review to the Commission, in particular
through their participation in TCAM (4 meetings in 2010). 2. Compliance with the Directive Respondents expected from the NLF
alignment a medium to strong impact on compliance with the Directive
(71% in the categories ‘some impact’ or ‘significant impact’ in general
comparing to 72% for SMEs). The measure is considered to entail a moderate
increase of burden. Respondents highlighted that the newly
introduced provisions of the NLF especially obligations for importers and
distributors, together with the introduction of traceability requirements will
introduce a positive impact on surveillance activities and will consequently
produce a significant improvement of compliance with the R&TTE Directive.
It will also contribute to create a fair market environment for all economic
operators. Industry mentioned that the positive impact
will depend on whether the NLF will be uniformly applied to all relevant
Directives. Some negative effects on administrative
burden of the NLF alignment mentioned were the new requirements on
traceability information, the possibility to ban compliant products presenting
a risk to health and safety or the translation of the DoC and the technical
documentation. Concerning a possible mandatory product
registration under the Directive, it was also expected that this system
would have a medium to strong impact on compliance (65% in the categories ‘some
impact’ or ‘significant impact’ in general comparing to 66% for SMEs) but
entailing a strong increase of burden (66% in the categories ‘some increase' or
‘significant increase of administrative burden' in general comparing to 62% for
SMEs). It is to be highlighted that on 12% of SMEs anticipate a ‘significant
increase’ the overall value is 32%. Some respondents mentioned that the
obligation of a registration would allow Market Surveillance Authorities to
easily comply with their new tasks under the NLF but some manufacturers were
sceptical with regard to the possibilities of registration to counter criminal
behaviour. It was also said that a registration scheme
would just add additional administrative burden by collating, uploading and
updating product information without solving the original concern identified
traceability and compliance since it does not prevent deliberate false
registration. The issue of confidentiality of information uploaded in the
registration database was also pointed out. Furthermore a registration scheme
under the R&TTE Directive will only address one Directive while the NLF
takes a more horizontal and harmonized approach and this would be critical for
products falling under the scope of several Directives. Respondents also highlighted that resources
for market surveillance are an important key in order to achieve a higher
compliance with the Directive. 3. Clarification of the Directive and
reduction of administrative obligations There was a moderately positive perception
of the impact on clarity of the inclusion of all radio receivers within the
scope of the Directive. The perception was slightly more positive among
SMEs (60% in the categories 'some clarification' or 'significant
clarification') than among respondents in general (48%). It was highlighted by
several respondents that the Commission should consider carefully consequences
for broadcast receivers if this option should be applied. The definition of performance requirements
for radio reception was considered beneficial for the efficiency in the use
of spectrum by many stakeholders, in particular by network operators and
spectrum authorities. Industry in general did not consider that changing the
scope of the Directive would bring any positive impact but only additional
administrative and technical burden to manufacturers, which does not seem to be
justified comparing to the limited potential added value. Industry also pointed
out that during the last 15 years the application of the EMCD and LVD for audio
and TV broadcast receivers has been proven to be sufficient and appropriate as
no problems have been reported. For cases where the performance of receivers
might have an impact on the performance of transmitters, industry proposed the
development of appropriate Harmonised Standards and compatibility studies which
will be more appropriate as a modification of the essential requirements. Regarding the possibility to exclude
indirectly connected terminal equipment, the impact on clarity is
moderately positive. For greater clarity, it was proposed that the Commission
should consider removing fixed terminals from the scope of the Directive as a
way to avoid having similar equipment under the R&TTE Directive and under
the LVD and EMCD. On the option to include the definitions of
fixed and mobile installations and clarify the application of the
R&TTE Directive to both cases there was a general moderately positive
impact (48% in the categories 'some clarification' or 'significant clarification'
in general comparing to 50% for SMEs). Several comments pointed to the
difficulty to apply EU level legislation to the many specific cases which could
be considered to be installations, to the difficulties of defining
installations, and to overlaps with national legislation. The possibility to incorporate agreements
and clarifications agreed in TCAM and collected in the Guide in the revised
Directive was welcomed in a very positive way (66% in the categories 'some
clarification' or 'significant clarification' in general comparing to 52% for
SMEs) as the Guide has been very useful for economic operators. A positive impact on the reduction of
administrative burden is also to be noted by the possible suppression of notifications
under Article 6.4: 43 % of
respondents consider a suppression of this requirement to bring in some or
significant reduction of burden There was a strong reservation on the
suppression of Article 4.2 which obliges operators to publish technical
specifications of public interfaces prior to provision of services, due to
competition issues. It was mentioned that this obligation for operators should
be mirrored with an obligation for terminal manufacturers, in particular with
regard to creating a level playing field for software applications for
terminals, and with regard to access to contents from terminals. Finally the option to suppress the obligation
to affix the "Alert Sign" on radio equipment for which Member
States apply restrictions on the putting into service had a moderate positive
impact in the reduction of burden (31% in the categories 'some reduction' or
'significant reduction of administrative burden' in general, 28% for SMEs). A
number of respondents insisted that it is very important to alert user on
restrictions to use of radio equipment. Some respondents also referred to the
necessity to revise the proportionality of current obligations for operators in
Article 7.5 of the Directive in case of a situation of emergency. 4. Scope of the Directive in relation to
specific legislation The possible positive impact on
simplification of excluding from the scope of the Directive radio equipment
covered by other more specific EU legislations or by international treaties
(e.g. equipment for Air Traffic Management or radars for inland waterways) was
considered as non-significant by more than half of respondents in the 2010
public consultation (30% no simplification, 16 % no simplification).
This view is even clearer among SME (52% no simplification, 28 % no
simplification). Some of the responses pointed to the
stability of the current legal framework for equipment for Air Traffic
Management and to the importance of managing all equipment liable to create
harmful interference under the R&TTE Directive 5. Other issues Regarding the accessibility of equipments
for users with a disability, the general opinion was that there was no need to
amend Article 3.3f of the Directive. Some associations mentioned the need to
implement this Article with the enactment of relevant Commission Decisions,
others were of the opinion that the R&TTE Directive was not the good legal
instrument for this issue and that the Universal Service Directive was a more
appropriate horizontal instrument to deal with this. ANNEX VII.
ADDITIONAL ITEMS AFFECTING THE AMBIGUITY AND COMPLEXITY OF THE DIRECTIVE -Notifications of national technical regulations covering R&TTE equipment under Article
4.1 of the Directive coincide with similar obligations under
Directive 98/34. -Notification by operators to national authorities of the technical
characteristics of their public interfaces under Article 4.2 coincide
with a similar obligation under Directive 2008/63/EC on
competition in the markets in telecommunications terminal equipment. -The Directive includes a number of provisions fostering the
emergence of a competitive market for terminals (article 4.2 on
publication of interfaces by operators, article 6.3 on information to the user
on available interfaces, articles 7.3-7.5 on the right to connect a terminal to
a network). These obligations were included to avoid that operators
unilaterally determine the specifications of terminals compatible with their
networks, which would enable them to transfer its market power in the area of
services to the market for terminals. However, the Directive does not contain
provisions to prevent possible distortions of competition created by
manufacturers of terminals on electronic communications markets such as the
following: · In the mobile market, closed on-line application stores linked to an
operating system or a particular terminal, which bind the consumer to the
choice of application, contents and/or network operator of his/her device
manufacturer; · In the TV market, the presence within TV receivers of closed
browsers with technical characteristics which condition access to particular
contents ANNEX VIII.
LEGISLATION AFFECTING THE PUTTING INTO SERVICE OF RADIO EQUIPMENT Equipment complying with the requirements
in the R&TTE Directive can be put into service in the EU (article 7.1 of
the Directive). However, article 7.2 of the Directive allows Member States to
introduce further restrictions in order to ensure and effective use of the
spectrum, avoid harmful interference or protect public health. Conditions for the use of spectrum are only
partially harmonised across the EU. In practice regulation of radio spectrum
is largely a national competence. Member States publish national frequency
plans, ‘radio interfaces’ which are technical conditions laid out in national
regulations, and other conditions for use of the spectrum such as individual
licences or general authorisations. When exercising this competence, Member
States shall comply with applicable EU law, in particular: ·
General criteria laid down in the Directive
2002/21/EC (Framework Directive[69]) within the regulatory
framework for electronic communications ·
Conditions for authorisations for the use of
spectrum laid down in Directive 2002/20/EC (Authorisation Directive[70])
within the regulatory framework for electronic communications ·
More specific are the implementing measures
under Decision 676/2002/EC (Radio Spectrum Decision[71]).
Such measures harmonise in detail the technical conditions for the use of
certain spectrum bands in the EU, and are binding to all Member States.
Examples of bands harmonised at EU level include the bands for GSM, UMTS and
short-range devices. EU Member States cooperate in CEPT (European
Conference of Postal and Telecommunications Administrations) with other
countries in the European area in the use of spectrum, including in some cases
its harmonisation. CEPT is an intergovernmental organisation which makes
recommendations and non-directly binding decisions, the implementation of which
depends on legal acts by its member states. Finally, EU Member States are members of the
International Telecommunications Union (ITU), which develops the Radio
Regulations setting a frame to regional and national regulations on the use of
spectrum, and which ITU member states commit to abide by. ANNEX IX.
DETAILED DESCRIPTION OF OPTION A1 Under Option A1, the R&TTE Directive
would take on board the solutions set out in the NLF Decision 768/2008 to
address problems relating to non-compliance. The measures in the Decision
designed to resolve these problems are as follows: ·
Introduction of obligations for importers and
distributors: Both must check that products bear the CE marking, are
accompanied by the required documents and carry the name of the manufacturer
and the importer (if relevant). Importers must furthermore check that
the manufacturer outside the EU has applied the correct conformity assessment
procedure and establish a link to the manufacturer that allows the technical
documentation to be obtained when it is requested by authorities. They must
carry out sample tests on products which they have supplied, when this is
appropriate in the light of the risks presented by a product to the health and
safety of consumers. If necessary, they must also keep a register of
complaints, non-conforming products and product recalls and keep distributors
informed about such monitoring (Articles R4 and R5 in Annex 1 of Decision
768/2008). ·
Additional manufacturer obligations: In
addition to the obligations that the current legislation already imposes on manufacturers,
they must provide instructions and safety information in a language easily
understood by consumers and end-users. Furthermore, they are subject to the
same obligations on sample testing and product monitoring as importers (Article
R3 in Annex 1 of Decision 768/2008). ·
Introduction of traceability requirements: New
obligations are introduced for all economic operators to ensure traceability
of products throughout the whole distribution chain. Manufacturers and
importers must put their name and address on the product or, where this is not
possible, on the packaging or an accompanying document. Furthermore every
economic operator must be able to inform the authorities from whom he purchased
a product and to whom he supplied it. This obligation does not include sales to
end-users (Article R7 in Annex 1 of Decision 768/2008). ·
Reorganisation of safeguard clause procedure
(market surveillance): The safeguard clause procedure has been reorganised and
streamlined. The new procedure ensures that the relevant enforcement
authorities are informed about dangerous products and that similar action is
taken against that product in all Member States (Articles R31-33 in Annex 1 of
Decision 768/2008). ANNEX X.
ESTIMATION OF THE DIRECT COST OF A PRODUCT REGISTRATION SYSTEM Some assumptions on the system to be introduced
according to Option A3 are the following: –
The highest available estimation of the number
of product types on the market subject to R&TTE Directive is 10000 products
(see in Annex III the estimation of MSAs). A conservative
assumption is that all product are renewed every 2 years –
Compliance data to be uploaded in a central
database do not need to include company sensitive data, therefore no complex
access protection needs to be implemented –
The Commission services would not perform
vetting of the uploaded information in order to verify that the submitted files
are genuine and valid On this basis, a pan-European registration
system would have the following characteristics: –
Database of circa 5000 types/year of maximum
50MB per product, i.e. additional 250 GB/year [Source: Commission services]
–
A simple registration system can be developed on
the basis of the current OSN[72] system, of
which the investment cost was 100000 € and maintenance cost is below 10000
€/year [Source: Commission services] –
A more powerful system including communications
is necessary in order to allow for heavier and more frequent transactions and
for a user-friendly interface for the functions of allocation of registration
numbers, upload of product information and consultation. Taking into account these characteristics, a conservative estimate
of costs is [Source: Commission services] : –
Estimated investment costs: 300000 € –
Estimated annual maintenance costs: 30000 € A system limited to registration of some
categories of products as in Option A4 would of course imply lower
costs, the reduction would be less than proportional. ANNEX XI.
ESTIMATION OF ADDITIONAL COST POR SOME INDIVUAL PRODUCTS UNDER OPTION B2 Possible additional costs stemming from B-options are identified on
page 34, in particular for those products currently covered by the EMC
Directive which would fall within the scope of R&TTE D under option B2. A possible repercussion of such costs upon individual products
considering different scenarios is included in the table below: Table A10.1 . Range
of additional cost per individual product (€) || Additional cost per product type (see page34 – option B2) Nb of products sold of a certain type || 100 (no new test, just re-formatting of existing test) || 2000 (intermediate case) || 5000 (additional radio and safety testing plus Notified Body opinion, no mitigation measure) 100 || 1 || 20 || 50 1000 || 0.1 || 2 || 5 10000 || 0.01 || 0.2 || 0.5 100000 || 0.001 || 0.02 || 0.05 Sufficient delays
for entry into force of the new scope should in practice eliminate the need for
manufacturers to contract external testing and to consult with notified bodies,
leaving them the option to declare conformity on the basis of in-house tests.
ANNEX XII. SME
TEST (1) Consultation with SME representatives || Interviews with SMEs have been carried out in the framework of the external study done by Technopolis. A specific consultation on the impact on measures under consideration took place through the Enterprise Europe Network in 2010. 50 SMEs participated in the exercise. See section 2.3, as well as Annex V. (2) Preliminary assessment of businesses likely to be affected || Some 99% of EU manufacturers in the area of products covered by the Directive fall within the SME category (see Annex III). SMEs contribute some 25% of EU production in this area (see Annex III). (3) Measurement of the impact on SME || Available evidence does not show specificities in the impact on SMEs of the options under consideration. This applies in particular to cost and administrative burden. The exception is option A3 on product registration, for which the impact on administrative burden was perceived as less significant by SMEs than by larger companies. (4) Assess alternative options and mitigating measures || At the end of the impact assessment, there was no indication that the selected option might result in a disproportionate burden for SME. Consequently, there is no element showing the need for SME specific measures in order to ensure compliance with the proportionality principle. ANNEX XIII.
SELECTED REFERENCES [1] Report from the Commission to the
Council and the European Parliament of 22 April 2004 – First Progress Report
Directive 1999/5/EC on radio equipment and telecommunications terminal
equipment and the mutual recognition of their conformity. [COM(2004) 288 final
– Not published in the Official Journal]. [2] 2nd Report from the
Commission to the Council and the European Parliament second Progress Report on
the operation of Directive 1999/5/EC, on radio equipment and telecommunications
terminal equipment and the mutual recognition of their conformity.
[COM/2010/0043 final - Not published in the Official Journal]. [3] Report to TCAM and ECC on
R&TTE Market Surveillance Campaign carried out by ADCO and RA11 Survey
Dates: September 2002 - October 2003. Date: 28 November 2003 [4]
Report on the second joint cross border R&TTE Market Surveillance campaign
carried out in 2005/06 by European Market Surveillance Authorities Survey Dates:
1. September 2005 – 1. June 2006 Report date: February 2007 final Version [5] Report on the Third Joint Cross
Border R&TTE Market Surveillance Campaign by the European Market
Surveillance Authorities in 2008/2009 Survey Dates: 1. September 2008 – 31. May
2009 final Version Report date: 8th October 2009 / Rev. 4th November 2009 [6] Report on the Fourth Joint Cross
Border R&TTE Market Surveillance Campaign (low power FM Transmitter), by
the European Market Surveillance Authorities in 2009. Survey Dates: 15. June
2009 – 02. October 2009. Final Version. Report date: 13th April 2010 [7] TCAM (30)18
- ADCO-RTTE surveillance statistics for 2009 [8]
Impact Assessment concerning a proposed mandatory registration system in the
scope of directive 1999/5/EC FINAL REPORT 5.10.2009. Technopolis Group. http://ec.europa.eu/enterprise/sectors/rtte/files/technop-ia-radio-finrep_en.pdf [9] TCAM Ad Hoc Working Group on
Traceability & Compliance. Final report. 17th June 2010 [10] TCAM Ad-hoc working group
Alignment NLF. Final report on alignment of the R&TTE Directive with the
Decision 768/2008/EC. 1st June 2010 [11] Final report of the TCAM Ad hoc
Working Group on making radio equipment regulation more innovation friendly
(INNOV WG). 20th October 2010 [12] Summary of the 2010 public consultation on the impact of
options under consideration for the revision of the R&TTE Directive. May
2011. http://ec.europa.eu/enterprise/sectors/rtte/public-consultation/files-public-consultation/summary-2010-pc_en.pdf [1] R&TTE= Radio and telecommunications terminal
equipment. A list of acronyms used and a glossary can be found in Annex I [2] Directive 1999/5/EC OJ L 91, 7.4.1999, p. 10–28 [3] Basic economic data of the EU market covered by the
R&TTE Directive can be found in Annex III. [4] Non-radio telecommunications infrastructure such as
switching systems is excluded from the scope of the R&TTE Directive. More
information about the product scope of the R&TTE Directive can be found in
Annex II. [5] A list of all references can be found in annex XIII. [6] COM(2010) 623 final VOL. II ANNEXES to the
COMMUNICATION FROM THE COMMISSION Commission Work Programme 2011 [7] Telecommunications Conformity Assessment and Market
Surveillance Committee [8] European Conference of Postal and Telecommunications
Administrations [9] See reference of the three final reports in Annex XIII,
references [9], [10] and [11] [10] The NLF consists of 2 regulations and a decision: -Regulation (EC) No
764/2008 of 9 July 2008 laying down procedures relating to the application of
certain national technical rules to products lawfully marketed in another
Member State -Regulation (EC) No
765/2008 9 July 2008 setting out the requirements for accreditation and market
surveillance relating to the marketing of products; -Decision No
768/2008/EC of 9 July 2008 on a common framework for the marketing of products [11] http://www.enterprise-europe-network.ec.europa.eu/index_en.htm [12] Directive 2002/95/EC on Restriction of Hazardous
Substances [13] Directive 2002/96/EC on Waste
of Electrical and Electronic Equipment [14] Directive 2006/66/EC on batteries and accumulators and
waste batteries and accumulators [15] Directive 2009/125/EC establishing a framework for the
setting of ecodesign requirements for energy-related products [16] Administrative Cooperation in the R&TTE area [17] PMR offers mobile radio communication to specific
organisations such as the police, fire brigade and civil protection [18] 2.4 GHz devices includes WiFi radio local access
Networks (RLANs), remote control equipment, Bluetooth communications equipment,
etc [19] Frequency Modulation [20] COUNCIL RECOMMENDATION of 12 July 1999 on the
limitation of exposure of the general public to electromagnetic fields (0 Hz to
300 GHz) (1999/519/EC) [21] COM/2010/0471 final - Proposal for a DECISION OF THE
EUROPEAN PARLIAMENT AND OF THE COUNCIL establishing the first radio spectrum
policy programme [22] It needs to be pointed out that low compliance is also
observed within Member States with relatively substantial resources available
for market surveillance in the R&TTE area, e.g. Germany, France or The
Netherlands [23] See footnote 10 above [24] http://ec.europa.eu/enterprise/sectors/rtte/documents/guidance/index_en.htm [25] Sanctions depend on national legislation and may include
fines, product withdrawal and criminal sanctions [26] Annex VII lists other elements in the Directive adding
to its ambiguity and complexity [27] ETSI TR 102 914 - Aspects and implications of the
inclusion of receiver parameters within ETSI standards [28] See for instance TCAM (29)34 Proposed approach to the
provision of information on equipment classes, restrictions to use and
notifications 6_4 [29] Memorandum of Understanding to harmonise chargers for
data-enabled mobile phones,
http://ec.europa.eu/enterprise/sectors/rtte/chargers/index_en.htm [30] Electromagnetic Compatibility Directive, 2004/108/EC,
requires electrical equipment to comply with an adequate level of
electromagnetic compatibility. [31] Low Voltage Directive, Directive 2006/95/EC, requires
electrical equipment to be safe [32] See 4.2 above for a discussion on whether essential
requirement in article 3.2 ('effective use of spectrum.. so as to avoid harmful
interference') applies to receive-only radio equipment [33] General Product Safety Directive, Directive 2001/95/EC,
requires consumer products not covered by more specific legislation to be safe [34] Decision 676/2002/EC on a regulatory framework for
radio spectrum policy in the European Community [35] 'effective use of spectrum… so as to avoid harmful
interference’ [36] Directive 2002/20/EC of the European Parliament and of
the Council of 7 March 2002 on the authorisation of electronic communications
networks and services (Authorisation Directive), OJ L 108, 24.4.2002, p. 21–32 [37] DIRECTIVE 2002/21/EC of 7 March 2002 on a common
regulatory framework for electronic communications networks and services (Framework
Directive) [38] Commission Decision 2010/368/EU amending Decision
2006/771/EC on harmonisation of the radio spectrum for use by short-range
devices [39] COM/2010/0471 final - Proposal for a DECISION OF THE
EUROPEAN PARLIAMENT AND OF THE COUNCIL establishing the first radio spectrum
policy programme [40] DIRECTIVE 2002/22/EC of 7 March 2002 on universal
service and users' rights relating to electronic communications networks and
services (Universal Service Directive) [41] http://ec.europa.eu/governance/better_regulation/key_docs_en.htm#_br [42] http://ec.europa.eu/research/innovation-union/index_en.cfm,
COM(2010) 546 final, Europe 2020 Flagship Initiative - Innovation Union [43] See footnote 10 above [44] A more detailed description of these elements can be
found in annex IX. [45] e.g. Definitions of common
terms like “manufacturer”, “importer”, “placing on the market” set out in
Article R2 of Decision 768/2008 are introduced in the R&TTE Directive.
Existing conflicting definitions are removed [46] http://www.ero.dk/rtte [47] ECO
Frequency Information System (EFIS), http://www.efis.dk/ [48] COMMISSION DIRECTIVE 2008/63/EC on competition in the
markets in telecommunications terminal equipment [49] Body of European Regulators for
Electronic Communications, Regulation (EC) No 1211/2009 [50] An overview (SME-test) can be found in Annex XII. [51] These efforts included a
study commissioned to an independent consultant, see reference [8] [52] 16% of all respondents (30% of SMEs) of the 2010 public
consultation indicated no or no significant administrative burden; 45% (38% of
SMEs) indicated some administrative burden linked to option A1 [53] This might be linked to the fact that they produce less
different types of products [54] A first systematic effort was conducted by Technopolis,
see ref. [8], a second by TCAM ad hoc group on Traceability and Compliance, see
[9], several direct Commission contacts were also undertaken with manufacturers
in 2010 and 2011 [55] For the assessed impact of the options, the symbols are
to be read as follows: 0 no impact, + weak positive, ++ moderate positive, +++
significant positive, - weak negative, -- moderate negative, --- strong
negative [56] See footnote 29 above [57] See footnote 30 above [58] See footnote 32 above [59] source: direct targeted consultation of some notified
bodies by Commission services [60] source: direct targeted consultation of some notified
bodies by Commission services [61] In principle to be funded by Member States and/or CEPT,
not by the EU [62] For reference, ECO, the Secretariat of CEPT, employs a
staff of 14 people including 7 experts [63] http://epp.eurostat.ec.europa.eu [64] Data correspond to products within NACE Code 332 -
Manufacture of television and radio transmitters and apparatus for line
telephony and line telegraphy [65] http://ec.europa.eu/yourvoice/ipm/ [66] http://ec.europa.eu/enterprise/sectors/rtte/files/technop-ia-radio-finrep_en.pdf [67] Radio and Telecommunications Terminal Equipment,
Directive 1999/5/EC OJ L 91, 7.4.1999, p. 10–28 [68] http://ec.europa.eu/enterprise/sectors/rtte/files/technop-ia-radio-finrep_en.pdf [69] Directive 2002/21/EC of the European Parliament and of
the Council of 7 March 2002 on a common regulatory framework for electronic
communications networks and services (Framework Directive), OJ L 108,
24.4.2002, p. 33–50 [70] Directive 2002/20/EC of the European Parliament and of
the Council of 7 March 2002 on the authorisation of electronic communications
networks and services (Authorisation Directive), OJ L 108, 24.4.2002, p. 21–32 [71] Decision No 676/2002/EC of the European Parliament and
of the Council of 7 March 2002 on a regulatory framework for radio spectrum
policy in the European Community (Radio Spectrum Decision), OJ L 108,
24.4.2002, p. 1–6 [72] One Stop Notification system for notifications
according to article 6.4 of the Directive, see section 4.2.4